Archives - Transparency and Disclosure
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1 September 2009 Unregulated Financial Markets and Products
IOSCO developed recommendations in relation to Unregulated Financial Markets and Products, in particular to securitisation and credit default swap markets. -
6 May 2009 Public Awareness of Deposit Insurance Systems
The paper provides guidance on how to promote effective public awareness of deposit insurance system. -
1 March 2007 International Disclosure Principles for Cross Border Offerings and Listing of Debt Securities by Foreign Issuers
These principles provide guidance to securities regulators who are developing or reviewing their regulatory disclosure regimes for cross-border offerings and listings of debt securities. -
16 January 2007 General Principles for International Remittances Services
The General Principles for International Remittances Services (GPs) provide guidance on how to improve the national market for international remittances by increasing efficiency and ultimately reducing the cost of transfer. -
1 February 2003 General Principles Regarding Disclosure of Management's Discussion and Analysis of Financial Condition and Results of Operations
The principles are intended to provide useful guidance for issuers in preparing MD&A-type disclosure and for regulators in reviewing such disclosure. -
1 October 2002 International Financial Reporting Standards (IFRS Standards)
IFRS is a single set of accounting standards, developed and maintained by the IASB with the intention of those standards being capable of being applied on a globally consistent basis. -
1 October 2002 Principles for Ongoing Disclosure and Material Development Reporting by Listed Entities
These are a set of common high level principles for ongoing disclosure and, in particular, material development disclosure by all listed entities, leaving the possibility for individual jurisdictions to add further requirements. -
3 August 2000 Code of Good Practices on Transparency in Monetary and Financial Policies (MFP)
The MFP identifies desirable transparency practices for central banks in their conduct of monetary policy and for central banks and other financial agencies in their conduct of financial policies. -
1 September 1998 International Disclosure Standards for Crossborder Offerings and Initial Listings by Foreign Issuers
These international disclosure standards reflect a consensus among securities regulators in the major capital markets as to the type of information that should be disclosed in cross-border offerings and listings of equity securities. The standards cover fundamental disclosure topics such as the description of the issuers' business, results of operations, management and the securities it plans to offer or list. -
1 November 1997 Principles for Record Keeping,Collection of Information, Enforcement Powers and Mutual Cooperation to Improve the Enforcement of Securities and Futures Laws,
The document sets out requirements for regulators on record keeping, collection of information, enforcement powers and mutual cooperation.
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