PARTICIPATING ORGANISATIONS DIRECTIVES AND GUIDANCE PROPOSED AMENDMENTS CONSEQUENTIAL TO THE COMPANIES ACT 2016

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PARTICIPATING ORGANISATIONS DIRECTIVES AND GUIDANCE PROPOSED AMENDMENTS CONSEQUENTIAL TO THE COMPANIES ACT 06 DIRECTIVES () DIRECTIVES ON APPLICATIONS TO THE EXCHANGE AND FEES PURSUANT TO CHAPTER 3 OF THE RULES NO. 3-00. Participating Organisation An applicant must complete and submit an application to the Exchange in the form set out in A of this Directive, accompanied by:. Participating Organisation An applicant must complete and submit an application to the Exchange in the form set out in A of this Directive, accompanied by: copies of the applicant s memorandum and articles of association or other constituent documents evidencing the applicant s: (ii) directors and shareholders; and authorised and paid-up capital; copies of the applicant s memorandum and articles of association constitution, if any or other constituent documents evidencing the applicant s: (iii) directors and shareholders; and authorised and paid-up capital;. Change of status to Investment Bank (3) A Participating Organisation must submit to the Exchange, the following documents together with the above notice:. Change of status to Investment Bank (3) A Participating Organisation must submit to the Exchange, the following documents together with the above notice: copies of the applicant s memorandum and articles of association or other constituent documents evidencing the applicant s: directors and shareholders; and copies of the applicant s memorandum and articles of association constitution, if any or other constituent documents evidencing the applicant s: Page of

(ii) authorised and paid-up capital; (ii) directors and shareholders; and authorised and paid-up capital; A A Form of application Participating Organisation A A Form of application Participating Organisation In support of our application, we enclose: In support of our application, we enclose: () a duly completed application form together with the required supporting documents; () a duly completed application form together with the required supporting documents; () the non-refundable application fee of RM[specify amount]; () the non-refundable application fee of RM[specify amount]; (3) the memorandum and articles of association of [name of Applicant]; (3) the memorandum and articles of association constitution of [name of Applicant] (if any); (4) evidence that the applicant s application for a Capital Markets and Services Licence for dealing in securities has been approved; and (4) evidence that the applicant s application for a Capital Markets and Services Licence for dealing in securities has been approved; and (5) an undertaking in the form the Exchange stipulates. (5) an undertaking in the form the Exchange stipulates. () DIRECTIVES ON MARKET MAKING AND SPECIFIED SECURITIES NO. 4-00 APPLICATION FOR REGISTRATION AS MARKET MAKERS PURSUANT TO RULE 4.0 OF THE RULES OF BURSA MALAYSIA SECURITIES BERHAD APPLICATION FOR REGISTRATION AS MARKET MAKERS PURSUANT TO RULE 4.0 OF THE RULES OF BURSA MALAYSIA SECURITIES BERHAD Page of

. Applicants Category (Please tick relevant category) (see note for Qualification Criteria). Participating Organisation ( PO ) of Bursa Malaysia Securities Berhad. A licensed bank or licensed merchant bank as defined in the Banking and Financial Institutions Act 989 3 Related Company of the PO, licensed bank or merchant bank, incorporated under Companies Act 965 4 Foreign Securities Broker ( FSB ) / Foreign Derivatives Broker ( FDB ) 5 Related Company of FSB / FDB, incorporated under the Companies Act 965 6. Others (please specify). Applicants Category (Please tick relevant category) (see note for Qualification Criteria). Participating Organisation ( PO ) of Bursa Malaysia Securities Berhad. A licensed bank or licensed merchant bank as defined in the Banking and Financial Institutions Act 989 3 Related Company of the PO, licensed bank or merchant bank, incorporated under Companies Act 965 4 Foreign Securities Broker ( FSB ) / Foreign Derivatives Broker ( FDB ) 5 Related Company of FSB / FDB, incorporated under the Companies Act 965 6. Others (please specify) 6. Authorised Capital 6. Authorised Capital 7. Paid-Up Capital 76. Paid-Up Capital 8. Name and Identity Card No. (IC No.) / Passport No. (for non-malaysian citizen only) of Directors: 87. Name and Identity Card No. (IC No.) / Passport No. (for non-malaysian citizen only) of Directors: 9. Contact Person(s) 98. Contact Person(s) Page 3 of

0. Declaration 09. Declaration. Undertaking from Director and Company Secretary of the Applicant 0.Undertaking from Director and Company Secretary of the Applicant Guidance Note Note : Qualification Criteria Guidance Note Note : Qualification Criteria () An applicant who intends to apply to be a Market Marker for a Specified Security must fulfill any one of the following requirements: () An applicant who intends to apply to be a Market Marker for a Specified Security must fulfill any one of the following requirements: a Participating Organisation; a Participating Organisation; (b) a licensed bank or licensed merchant bank as defined in the BAFIA; (b) a licensed bank or licensed merchant bank as defined in the BAFIA; (c) a Related Corporation of or (b) above, incorporated under the Companies Act 965 and has: (c) a Related Corporation of or (b) above, incorporated under the Companies Act 965 and has: a minimum paid up capital of RM million; and a minimum paid up capital of RM million; and (ii) at least personnel with at least 5 years experience in the following: (aa) trading in securities as a Dealer s Representative or trading in derivatives as a Futures Broker s Representative; (bb) trading in treasury related instruments of a financial institution; (iii) at least personnel with at least 5 years experience in the following: (aa) trading in securities as a Dealer s Representative or trading in derivatives as a Futures Broker s Representative; (bb) trading in treasury related instruments of a financial institution; Page 4 of

(cc) (dd) trading in securities as a dealer on a recognised stock exchange; or trading in derivatives as a dealer on a Specified Exchange as defined in the Derivatives Exchange Rules; (d) a foreign securities broker or foreign derivatives broker in a jurisdiction where the broker is regulated by a regulator who is a signatory to the International Organisation of Securities Commissions Multilateral Memorandum of Understanding ( IOSCO MMOU ) or the Declaration on Cooperation and Supervision of International Futures Markets and Clearing Organisations ( BOCA Declaration ) respectively ( Foreign Broker ) and it fulfills the following: has a minimum paid up capital of equivalent RM,000,000.00; and (ii) has the following experience: (aa) at least 3 years market making experience; or (bb) at least personnel with at least 3 years experience in Market Making experience and is related to a company who is also a Foreign Broker which has at least 3 years Market Making experience; or (cc) (dd) trading in securities as a dealer on a recognised stock exchange; or trading in derivatives as a dealer on a Specified Exchange as defined in the Derivatives Exchange Rules. (d) a foreign securities broker or foreign derivatives broker in a jurisdiction where the broker is regulated by a regulator who is a signatory to the International Organisation of Securities Commissions Multilateral Memorandum of Understanding ( IOSCO MMOU ) or the Declaration on Cooperation and Supervision of International Futures Markets and Clearing Organisations ( BOCA Declaration ) respectively ( Foreign Broker ) and it fulfills the following: has a minimum paid up capital of equivalent RM,000,000.00; and (ii) has the following experience: (aa) at least 3 years market making experience; or (bb) at least personnel with at least 3 years experience in Market Making experience and is related to a company who is also a Foreign Broker which has at least 3 years Market Making experience; or (e) a Related Corporation of (d) above, incorporated under the Companies Act 965 and it fulfills the following: Page 5 of

(e) a Related Corporation of (d) above, incorporated under the Companies Act 965 and it fulfills the following: has a minimum paid up capital of RM,000,000.00; (ii) (iii) has a minimum paid up capital of RM,000,000.00; has at least personnel with at least 3 years experience in Market Making; and the Foreign Broker which is its Related Corporation has at least 3 years experience in Market Making. (ii) has at least personnel with at least 3 years experience in Market Making; and (iii) the Foreign Broker which is its Related Corporation has at least 3 years experience in Market Making. Note 4: Application to the Exchange Note 4: Application to the Exchange iii) For applicant which is not a Participating Organisation or a financial institution licensed under BAFIA, the application shall be accompanied with: a) certified true copies of the memorandum and articles of association or any other constituent documents, of the applicant company and if any, its corporate shareholders; b) such documents and information as may be appropriate in respect of its financial standing such as: - Auditor s Certification; - Balance Sheet; and c) Form 9, 49, 3, 4 and 44 or similar documents of its nature. iii) For applicant which is not a Participating Organisation or a financial institution licensed under BAFIA, the application shall be accompanied with: a) certified true copies of the memorandum and articles of association constitution, if any, or any other constituent documents, of the applicant company and if any, its corporate shareholders (if any); b) such documents and information as may be appropriate in respect of its financial standing such as: - Auditor s Certification; - Balance Sheet; and c) Form 9, 49, 3, 4 and 44 Notice of registration; (ii) Notification of change in the Register of Directors, Managers and Secretaries; (iii) Notice of registration of the new name; Page 6 of

(iv) Return of allotment of shares; (v) Notification for change in the registered address (if relevant); (vi) Particulars of change or alteration relating to foreign company (if relevant); or similar documents of its nature. [End of Amendments to Directives] Page 7 of

BEST PRACTICES () BEST PRACTICES IN THE ISLAMIC STOCKBROKING SERVICES UNDERTAKEN BY PARTICIPATING ORGANISATIONS NO. 7.6-00 CONTENTS. Memorandum & Articles of Association CONTENTS. Memorandum & Articles of Association[Deleted]. Memorandum & Articles of Association. The Memorandum and Articles of Association of an Islamic Participating Organisation which provides Islamic stockbroking services on a full-fledged basis or window basis should stipulate amongst others that it is providing the Islamic stockbroking services and that its corporate mission is amongst others to achieve its commercial objectives within the confines of Shariah principles.. Memorandum & Articles of Association[Deleted]. The Memorandum and Articles of Association of an Islamic Participating Organisation which provides Islamic stockbroking services on a full-fledged basis or window basis should stipulate amongst others that it is providing the Islamic stockbroking services and that its corporate mission is amongst others to achieve its commercial objectives within the confines of Shariah principles. () DIRECT MARKET ACCESS HANDBOOK No. 8.6-00..3 DMA Client Due Diligence Know Your Client ( KYC ) Requirements Client Type Simplified CDD Enhanced CDD..3 DMA Client Due Diligence Know Your Client ( KYC ) Requirements Client Type Simplified CDD Enhanced CDD Individual IC or passport Address residential and permanent address, if different IC or passport Address residential and permanent address, if different Individual IC or passport Address residential and permanent address, if different IC or passport Address residential and permanent address, if different Occupation Page 8 of

Occupation Latest 3 months payslip or latest income tax statement or bank statement Latest 3 months payslip or latest income tax statement or bank statement Corporation Certification of Incorporation Memorandum & Articles of Association Board Resolution on opening of account Specimen signature of authorised signatories Certification of Incorporation Memorandum & Articles of Association Board Resolution on opening of account Specimen signature of authorised signatories Information on the nature of business and its corporate structure Latest audited financial statement and/or management financial statements Latest 3 month bank statement Power of Attorney (if applicable) Corporation Certification of Incorporation Notice of registration Memorandum & Articles of Association Constitution (if any) Board Resolution on opening of account Specimen signature of authorised signatories Certification of Incorporation Notice of registration Memorandum & Articles of Association Constitution (if any) Board Resolution on opening of account Specimen signature of authorised signatories Information on the nature of business and its corporate structure Latest audited financial statement and/or management financial statements Latest 3 month bank statement Power of Attorney (if applicable) Page 9 of

(3) RECOMMENDATIONS ON COMPLIANCE REPORTING No. 3.39()-00 Para. of COMPLIANCE PROGRAM FOR PARTICIPATING ORGANISATIONS Para. of COMPLIANCE PROGRAM FOR PARTICIPATING ORGANISATIONS. Opening Of Trading Accounts. Opening Of Trading Accounts Compliance Procedures Compliance Procedures 3. Ensure that all clients have properly disclose the information as required in the manner according to Rules 503.(8) and 503.(9). 3. Ensure that all clients have properly disclose the information as required in the manner according to Rules 503.5.5(8) and 503.5.5(9). Para. of Compliance Procedures 6. Check the accounts opened against the respective application forms to ensure that all accounts opened are duly supported. Peruse application forms and ensure that: Application forms are duly completed by the applicant and signed by the approving authorities as evidence of approval. Approval on the application is granted before the client s first transaction. Application forms are supported by at least the following documents: Para. of Compliance Procedures 6. Check the accounts opened against the respective application forms to ensure that all accounts opened are duly supported. Peruse application forms and ensure that: Application forms are duly completed by the applicant and signed by the approving authorities as evidence of approval. Approval on the application is granted before the client s first transaction. Application forms are supported by at least the following documents: Individual Clear and legible photocopy identity card attached to the application form. Individual Clear and legible photocopy identity card attached to the application form. Corporate Board Resolution to open trading account, trade in securities, appointment of signatories to open trading account and deal in securities. Corporate Board Resolution to open trading account, trade in securities, appointment of signatories to open trading account and deal in securities. Page 0 of

Copy of Memorandum and Articles of Association (M&A). The M&A must incorporate with the clause which allows the client to deal in securities. Certified copies of Form 9, 4 and 44. Copy of Memorandum and Articles of Association (M&A)constitution (if any). The M&A constitution must incorporate with the include a clause which allows the client to deal in securities. Certified copies of Form 9, 4 and 44 Notice of registration, Return of allotment of shares and Notification for change in the registered address/ Particulars of change or alteration relating to foreign company. [End of Amendments to Best Practices] Page of