О внесении изменений в Федеральный закон "О рынке ценных бумаг" и статью 3 Федерального закона "О саморегулируемых организациях в сфере финансового рынка" | 397-ФЗ — Russia law | Esheria

О внесении изменений в Федеральный закон "О рынке ценных бумаг" и статью 3 Федерального закона "О саморегулируемых организациях в сфере финансового рынка"

The law adds rules for investment advisers, including registration, conduct, disclosure, and reporting duties, and sets related powers for the Bank of Russia.

Jurisdiction
Russia
Instrument
Act or statute
Citation
397-ФЗ
Version
Undated source snapshot
Language
ru
Official source
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brokerage investment advisory self-regulatory organizations trust management

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