Todas las autoridades reguladoras
The Securities Commission of The Bahamas
año 1995
Regulado por el gobierno
FSC GFSC OBC FSC VFSC SFC SCB FSA MISA CIMA HKGX SCA SBS CNBV FCA SERC CIRO LFSA FSA FinCEN TPEx CBUAE JFX FINRA CMVM CMA FSA SCMN BMA KNF SFB ISA AFSA SCM SEC AOFA CMA FSS FSA ASIC FMA CYSEC NFA FINMA FSC MFSA FINTRAC MAS ADGM DFSA BaFin AMF LB NBRB CBR CBI FSCA CONSOB FSC CFFEX CNMV CNB MTR BDL ICDX BAPPEBTI
The Securities Commission of The Bahamas
año 1995
Regulado por el gobierno
The Securities Commission of The Bahamas (“the Commission”)(SCB) is a statutory body established in 1995 pursuant to the Securities Board Act, 1995. That Act has since been repealed and replaced by new legislation. The Commission’s mandate is now defined in the Securities Industry Act, 2011 (SIA, 2011). The Commission is responsible for the administration of the SIA, 2011 and the Investment Funds Act, 2003 (the IFA), which provides for the supervision and regulation of the activities of the investment funds, securities and capital markets. The Commission, having been appointed Inspector of Financial and Corporate Services in 1 January 2008, is also responsible for administering the Financial and Corporate Service Providers Act, 2000.