China Law & Practice

Change font size:   

China Securities Regulatory Commission, Provisions for the Regulation of Branches of Securities Companies (Trial Implementation)
中国证券监督管理委员会证券公司分公司监管规定 (试行)

Restrictions set on securities companies’ business scope.

Date: July 2008

CLP Reference: 3700/08.05.13

PRC Reference: 证监会公告 [2008] 20 号

Promulgated: 13 May 2008

Effective: 13 May 2008

Keywords (click to search): [branches of securities companies] [securities houses] [securities business]

Issued: May 13 2008

Effective: as of date of issuance

Main Contents: A branch shall engage in business within the scope authorized by the securities company, and may not operate beyond its authorized scope.

A securities company may authorize a branch to engage in the following business:

(1) managing the securities company’s securities business offices within a certain territory;

(2) operating the securities company’s securities underwriting and sponsorship business...

To continue reading this article, you must be a subscriber.

The rest of this article is available to subscribers only. Subscribe now to continue reading this article and to have full access to all other articles and full-text translations.

Already subscribed?




Forgotten your password?


Subscribers have UNLIMITED ACCESS to Full Text Translations and archive contents dating back to 1999.

Subscribe to China Law & Practice


Enquiry Hotlines:
Email subscriptions@alphk.com or call (Hong Kong) +852 2842 6929/6910 (UK) +44 (0) 20 7779 8999.

If you are already a subscriber, LOG IN on the right to access the rest of this article.


China Law & Practice Events

The IFLR and Asialaw Competition Forum 2008
25 November 2008
Location: Hong Kong

The 2nd Annual Asia Pacific M&A Summit 2009
03 & 04 March 2009
Location: Hong Kong