Article L214-84
The terms of liquidation and the methods of asset distribution are determined by the fund rules. The management company acts as liquidator under the supervision of the custodian. Failing this, the liq…
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Showing 271–280 of 58596 articles for “Art. s. 8 and 239”
The terms of liquidation and the methods of asset distribution are determined by the fund rules. The management company acts as liquidator under the supervision of the custodian. Failing this, the liq…
Transactions relating to Livret A passbook accounts and Crédit Mutuel special passbook accounts opened before 1 January 2009 are subject to documentary and on-site inspections by the Inspectorate Gene…
Unless otherwise stipulated, the terms and conditions for the application of this chapter are specified by decree in the Conseil d'Etat. For the application of this chapter, the provisions applicable…
…tomer's situation; he shall ensure that the customer is able to take cognisance of this information and documents on the durable medium envisaged. After this verification, the professional shall infor…
…tors of the management company of a société civile de placement immobilier are liable to a fine of 18,000 euros if they fail to comply with article L. 214-88.
…s the fund as set out in article L. 312-15 is liable to the penalties set out in articles L. 612-39 and L. 612-40 and to late payment penalties paid directly to the fund in accordance with the procedu…
In the event of a transfer of assets included in a leasing transaction, and for the duration of the transaction, the transferee is bound by the same obligations as the transferor, who remains the guar…
…ntie des Dépôts et de Résolution shall be liable to the penalties provided for in Article L. 621-15 and to late payment penalties paid directly to the Fonds de Garantie des Dépôts et de Résolution in…
The information and conditions provided for in this section shall be communicated in clear and easily understandable terms and form. They shall be communicated in French unless otherwise agreed by the…
The contract specifies that repayment is made at the face value of the electronic money units.
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