Practice Note 2.6.3(2) — Firm-Level Monitoring of Capital and Financial Requirements and Prudential Limits (15 March 2013) Futures Trading Rules >> Practice Notes
3.4.3A Duty to Monitor for Trading Misconduct (15 March 2013) Futures Trading Rules >> Chapter 3 Conduct of Members, Approved Traders and Representatives >> 3. Conduct of Members, Approved Traders and Registered Representatives >> 3.4 Trading Practices and Conduct Rules of Members, Approved Traders and Registered Representatives
2.1.2B Suspension and Termination of Direct Market Access (15 March 2013) Futures Trading Rules >> Chapter 2 Access and Membership >> 2.1 Access and Trading >> 2. Overview of Access and Membership
2.6.2A Adequacy of Systems (15 March 2013) Futures Trading Rules >> Chapter 2 Access and Membership >> 2.6 Technical Matters and Risk Management Controls >> 2. Overview of Access and Membership
Practice Note 2.28A.1.6 — Conflicts of Interest (15 March 2013) SGX-DC Clearing Rules >> Practice Notes