Article D213-10
An order of the Minister for the Economy specifies the information that must be included in the financial presentation file. It may provide for specific procedures adapted to different categories of i…
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Showing 8201–8210 of 68399 articles for “Art. L 221-32-2 and Art. D 221-113-5”
An order of the Minister for the Economy specifies the information that must be included in the financial presentation file. It may provide for specific procedures adapted to different categories of i…
The AMF shall ensure that the dossier provided for in Article L. 214-2-1 is complete. It shall send the notification file to the competent authorities of the host country in which the UCITS intends to…
The issuer of negotiable debt securities must send the financial documentation for its issuance programme and any updates to the institutions domiciling the securities issued under the programme, and…
The conditions for issuing the negotiable debt securities provided for in Articles L. 213-1 A to L. 213-4-1 and in this sub-section are specified by order of the Minister for the Economy.
The minimum amount of assets that mutual funds must hold when they are set up is €300,000.
The former fund, which retains the assets whose disposal would not be in the best interests of the unitholders pursuant to article L. 214-8-7, and the new fund have the same portfolio management compa…
Each year, the issuer must send the Banque de France updated financial documentation for the programme within forty-five days of the general meeting of shareholders, or the equivalent body, called to…
I. - The information document contains all the information required by subscribers. It contains the following information concerning the issue: 1° The purpose of the issue ; 2° The decisions of the au…
Prior to the issue, the issuer of negotiable debt securities files financial documentation with the Banque de France, which includes: 1° A presentation of the issue programme(s) containing the informa…
Contributions in kind made at the formation of a fonds commun de placement are valued under the same conditions as subsequent contributions of securities and in accordance with the procedures set out…
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