Article D214-32-4-1
The AMF shall ensure that the notification file provided for in Article L. 214-24-2 is complete. It shall send the file to the competent authorities of the host Member State in which the units or shar…
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Showing 3251–3260 of 15298 articles for “Art. s. 2003 et seq.”
The AMF shall ensure that the notification file provided for in Article L. 214-24-2 is complete. It shall send the file to the competent authorities of the host Member State in which the units or shar…
The notification referred to in Article D. 214-32-7-1 shall be made as soon as possible and no later than ten working days after the acquisition of control.
…of the pledgee. When the pledgee considers that the conditions for realising the pledge have been met, it shall request the account keeper or the manager of the computerised identification process in…
All negotiable debt securities issued under the same programme may be covered by a first demand guarantee under the conditions laid down by order of the Minister for the Economy. Where negotiable debt…
The financial documentation submitted to the Banque de France is drawn up in French or in a language other than French that is customary in financial matters, if the securities can only be subscribed…
…he financial contracts provided for in 5° of the I of Article L. 214-20 and entered into on the markets mentioned in 1°, 2° or 3° of the I of Article R. 214-11 or traded over-the-counter, provided tha…
…as well as investment funds governed by foreign law, may not exceed a total of 30% of the UCITS' assets.II. - When a UCITS has acquired units or shares of another UCITS governed by French or foreign l…
…ent fund may use techniques and instruments relating to eligible financial securities and money market instruments, and in particular repurchase agreements and similar transactions for the temporary p…
The half-yearly report is published within two months of the end of the period to which it relates.
…of II of article L. 214-28, the denominator is the higher of the following two amounts: the fund's net assets or the paid-up amount of subscriptions to the fund.
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