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ADGM LEGAL FRAMEWORK

  • ABU DHABI GLOBAL MARKET
    • FEDERAL LAW NO (8) OF 2004
    • FEDERAL DECREE NO (15) OF 2013
    • CABINET RESOLUTION NO (4) OF 2013
    • CABINET RESOLUTION NO. 28 OF 2007
    • ABU DHABI LAW NO. (4) OF 2013
    • ABU DHABI LAW NO. (12) OF 2020
    • ADGM LEGAL FRAMEWORK
      • COMMERCIAL LEGISLATION
      • FSRA LEGISLATION
        • Regulations
          • Bank Recovery and Resolution Regulations 2018
          • Common Reporting Standard Regulations 2017
          • Financial Services and Markets Regulations
            • Financial Services and Markets Regulations 2015
              • Part 1 The Regulator
              • Part 2 Rules and Guidance
              • Part 3 Regulated Activities
              • Part 4 Authorisation
              • Part 5 Performance of Controlled Functions and Recognised Functions
              • Part 6 Official Listing and Offers
              • Part 7 Transfer Schemes
              • Part 8 Market Abuse
              • Part 9 Misleading Statements and Impressions
              • Part 10 Change of Control
              • Part 11 Collective Investment Funds
              • Part 12 Recognised Bodies and OTC Derivatives
              • Part 13 Settlement Finality
              • Part 14 Suspension and Removal of Financial Instruments from Trading
                • 180. Regulator's power to require suspension or removal of Financial Instruments from Trading
                • 181. Suspension or removal of Financial Instruments from trading: procedure
                • 182. Procedure following consideration of representations
                • 183. Revocation of requirements: applications by Institutions
                • 184. Decisions on applications for revocation by Institutions
                • 185. Revocation of requirements: applications by Issuers
                • 186. Decisions on applications for revocation by Issuers
                • 187. Notification in relation to suspension or removal of a Financial Instrument from trading
              • Part 15 Auditors and Actuaries
              • Part 16 Public Record and Disclosure of Information
              • Part 17 Information Gathering, Prudential Directions, Skilled Person Reports, Investigations and Cooperation
              • Part 18 Contraventions, etc.
              • Part 19 Regulatory Committee, Appeals Panel and Disciplinary Measures
              • Part 20 Injunctions, Restitution and Actions for Damages
              • Part 21 Enforcement Procedure
              • Part 22 General
              • Schedule 1 Regulated Activities
              • Schedule 2 Financial Promotions
              • Schedule 3 Exempt Persons
            • Financial Services And Markets (Amendment) Regulations 2016
            • Financial Services & Markets (Amendment) Regulations 2017
            • Financial Services and Markets (Amendment) Regulations 2018
            • Financial Services and Markets (Amendment No 2) Regulations 2018
            • Financial Services and Markets (Amendment No 3) Regulations 2018
            • Financial Services and Markets (Amendment No 4) Regulations 2018
            • Financial Services and Markets (Amendment No 5) Regulations 2018
            • Financial Services and Markets (Amendment) Regulations 2019
            • Financial Services and Markets (Amendment No 2) Regulations 2019
            • Financial Services and Markets (Amendment) Regulations 2020
            • Financial Services and Markets (Amendment 2) Regulations 2020
            • Financial Services and Markets Regulations (Amendment No. 3) 2020
        • Rules
        • Waivers and Modifications
      • ADGM COURTS LEGISLATION
      • ARBITRATION LEGISLATION
    • ADGM COURTS PROCEDURES
    • GUIDANCE & POLICY STATEMENTS
    • PUBLIC CONSULTATION PAPERS
    • NOTICES OF PUBLICATION
  Versions

 
  • Oct 20 2015 - Oct 19 2015
  • Oct 20 2015
‹ 179. Power of the Regulator to make Rules under this Part 180. Regulator's power to require suspension or removal of Financial Instruments from Trading ›

Part 14 Suspension and Removal of Financial Instruments from Trading

  • 180. Regulator's power to require suspension or removal of Financial Instruments from Trading
  • 181. Suspension or removal of Financial Instruments from trading: procedure
  • 182. Procedure following consideration of representations
  • 183. Revocation of requirements: applications by Institutions
  • 184. Decisions on applications for revocation by Institutions
  • 185. Revocation of requirements: applications by Issuers
  • 186. Decisions on applications for revocation by Issuers
  • 187. Notification in relation to suspension or removal of a Financial Instrument from trading
‹ 179. Power of the Regulator to make Rules under this Part 180. Regulator's power to require suspension or removal of Financial Instruments from Trading ›
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