Laws of Malaysia·Act 498
SECURITIES COMMISSION ACT 1993
AKTA SURUHANJAYA SEKURITI 1993
Official editions
- English editionSECURITIES COMMISSION ACT 1993
- Edisi Bahasa MelayuAKTA SURUHANJAYA SEKURITI 1993
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Consolidated text (extract)
LAWS OF MALAYSIA
ONLINE VERSION OF UPDATED
TEXT OF REPRINT
Act 498
SECURITIES COMMISSION
MALAYSIA ACT 1993
As at 1 March 2016
2
SECURITIES COMMISSION MALAYSIA ACT 1993
…
…
…
22 January 1993
Date of publication in the Gazette
…
…
4 February 1993
Latest amendment made by
Act A1489 which came
into operation on … …
…
…
15 September 2015
Date of Royal Assent
…
…
PREVIOUS REPRINTS
First Reprint
… … … 2001
Second Reprint
… … … 2006
3
LAWS OF MALAYSIA
Act 498
SECURITIES COMMISSION MALAYSIA ACT 1993
ARRANGEMENT OF SECTIONS
PART I
PRELIMINARY
Section
1.
Short title and commencement
2.
Interpretation
2A.
References to “this Act”
2 B.
(Deleted)
2 C.
(Deleted)
2D.
Registers
2E.
Electronic filing of books
2F.
Power of Commission to specify form and manner of keeping or
maintaining books
2G.
Power of Commission to access books kept or maintained otherwise than
in writing
2H.
Power of Commission to require production, etc. of books kept or
maintained otherwise than in writing
PART II
SECURITY COMMISSION MALAYSIA
3.
Establishment of the Commission
4.
Board of Commission
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Laws of Malaysia
ACT 498
Section
4A.
Appointment of members of Board
4B.
Chairman and Deputy Chief Executive
5.
Disqualification of Board members
6.
Tenure of office
7.
Resignation
8.
Revocation of appointment
9.
Remuneration or allowance
10.
Meetings
11.
Board may invite others to meeting
12.
Common seal
13.
Disclosure of interest
14.
Minutes
15.
Functions of the Commission
16.
Powers of the Commission
17.
Delegation of Board’s and Chairman’s functions
18.
Board committee
18A.
Procedures of Board committee
19.
Power of the Minister to give directions and require information
20.
Appointment of officers of the Commission
21.
Commission may issue policies on discipline and ethical behaviour
22.
Power to grant loans and make advances to its officers
22A. Commission may establish and participate in body corporate
PART III
FINANCE
23.
The Fund
24.
Levies
25.
Conservation of the Fund
26.
Expenditure to be charged on the Fund
Securities Commission Malaysia
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Section
27.
Commission’s financial year
28.
Annual report
29.
Accounts
30.
Power to borrow
31.
Investment
PART IIIA
AUDIT OVERSIGHT BOARD
DIVISION 1
Preliminary
31A. Interpretation for the purpose of Part III A
DIVISION 2
Establishment and Functions of Audit Oversight Board
31B. Functions of Commission relating to audit oversight
31C. Establishment of Audir Oversight Board
31D. Application of Schedule 2
31E. Responsibilities of Audit Oversight Board
31EA. Audit Oversight Board may establish committees
31F. Commission may give general or specific directions to Audit Oversight
Board
31G. Disclosure of interest
DIVISION 3
Finance
31H. The Audit Oversight Board Fund
31I.
Contribution
31J.
Expenditure to be charged on Audit Oversight Board Fund
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Laws of Malaysia
ACT 498
Section
31K. Investment
31L.
Annual Report and accounts
31M. Statutory Bodies (Accounts and Annual Report) Act 1980
DIVISION 4
Registration or Recognition as Auditor of Public Interest Entity
or Schedule Fund
31N. Requirement for registration or recognition as auditor of public interest
entity or schedule fund
31O. Application for registration or recognition as an auditor of a public interest
entity or schedule fund
31P.
Refusal to register or grant recognition
31Q. Power to revoke, withdraw or suspend registration or recognition
31R. Notification of refusal, revocation or suspension
31S.
(Deleted)
31T. Register of auditor
DIVISION 5
Setting Auditing and Ethical Standards
31U. Auditing and ethical standards
DIVISION 6
Inspection and Inquiry
31V. Inspection
31W. Inquiry
31X. Power to require information
31Y. Inspection and inquiry of consolidated financial statements
Securities Commission Malaysia
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DIVISION 7
Sanctions
Section
31Z. Sanctions
DIVISION 8
General
31ZA. (Deleted)
31ZB. Appeal
31ZC. Duty to report to relevant authorities
31ZD. Cooperation, coordination and sharing of information
PART IIIB
MANAGEMENT OF SYSTEMIC RISK IN THE CAPITAL MARKET
31ZE. Interpretation
31ZF. Information for purpose of systemic risk
31ZG. Power of Commission to issue directive for systemic risk
31ZH. Arrangement with other supervisory authorities
PART IIIC
SHARIAH ADVISORY COUNCIL
31ZI. Establishment of Shariah Advisory Council for Islamic capital market
31ZJ. Functions of Shariah Advisory Council
31ZK. Appointment of members of Shariah Advisory Council
31ZL. Secretariat to Shariah Advisory Council
31ZM. Advice or ruling Shariah Advisory Council
31ZN. Reference to Shariah Advisory Council for ruling from court or arbitrator
31ZO. Effect of Shariah ruling
31ZP. Shariah Advisory Council ruling prevails
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Laws of Malaysia
ACT 498
PART IV
ISSUES OF SECURITIES AND TAKE-OVERS AND MERGERS
DIVISION I
Proposals in Relation to Securities
Section
32 – 32B.
(Deleted)
DIVISION 2
Take-Overs, Mergers and Compulsory Acquisitions
33 – 34C.
(Deleted)
DIVISION 3
Prospectus
35 – 65.
(Deleted)
DIVISION 4
DEBENTURES
Subdivision 1—Trust deeds, duties of trustees,
borrowers, etc.
66 – 91.
(Deleted)
Subdivision 2—General
92 – 95.
(Deleted)
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DIVISION 5
UNIT TRUST SCHEMES AND PRESCRIBED INVESTMENT
SCHEMES
Section
96 – 124.
(Deleted)
PART IVA
AGREEMENT OR ARRANGEMENT FOR TRANSFER
OF BUSINESS
124A – 124B. (Deleted)
PART V
ENFORCEMENT AND INVESTIGATION
125.
Appointment of Investigating Officers of the Commission
126.
Examination by Commission
127.
Production of books, etc.
128.
Powers of Investigating Officers of the Commission
129.
Procedure by Investigating Officer on seizure of property
130.
Procedure by Magistrate in respect of property seized
131.
Procedure in respect of property detained in Investigating Officer’s
custody
132.
Surrender of travel documents
133.
Forcible entry
134.
Power to call for examination
135.
Destruction, concealment, mutilation and alteration of records
PART VI
GENERAL
136. Conduct of prosecution
137. General penalty
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ACT 498
Section
138. Offences by bodies corporate
139. Compounding of offences
140. Protection of informers and information
141. Offences under securities law are seizable offences
142. Duty of Investigating Officer to make over arrested person to the police
143. Detention of arrested person
144. Public servants and public officers
145. Power to engage persons to render assistance
146. Power to review
147. Decision of Minister or Commission shall be final
148. Obligation of secrecy
148A.
Permitted disclosure in civil enforcement proceedings
148B.
Confidentiality of supervisory information
149. Assistance to police or other public officer
150. Assistance to and co-operation with foreign supervisory authorities
150A. Admissibility of evidence obtained through assistance from a foreign
supervisory authority
150B. Admissibility of statements and documents of persons who are dead or
cannot be traced, etc.
151. (Deleted)
151A. Evidential provision
152. Disclosure of information to Commission
152A. Power of Commission to publish information
153. (Deleted)
154. Officers of Commission may represent Commission in civil proceedings
155. (Deleted)
156. (Deleted)
157. Attempts, abetments and conspiracies
158. Written notices, circulars, conditions or guidelines
159. Power to make regulations
Securities Commission Malaysia
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Section
159A. Power to amend schedules
160.
Immunity
160A. Power to issue directions to discharge Government’s international
obligation under United Nations Security Council Resolutions
PART VII
REPEAL AND TRANSITIONAL PROVISIONS
161. Repeal
162. Saving
163. Continuance of other rights, liabilities, etc., under the repealed sections
164. Continuance of criminal and civil proceedings
165. Transitional and savings
166. Prevention of anomalies
SCHEDULE 1
SCHEDULE 2
SCHEDULE 3 (Deleted)
SCHEDULE 4 (Deleted)
SCHEDULE 5 (Deleted)
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LAWS OF MALAYSIA
Act 498
SECURITIES COMMISSION MALAYSIA ACT 1993
An Act to establish the Securities Commission Malaysia and to
provide for matters connected therewith and incidental thereto.
[1 March 1993, P.U. (B) 571/1999]
BE IT ENACTED by the Seri Paduka Baginda Yang di-Pertuan
Agong with the advice and consent of the Dewan Negara and Dewan
Rakyat in Parliament assembled, and by the authority of the same, as
follows:
PART I
PRELIMINARY
Short title and commencement
1. (1) This Act may be cited as the Securities Commission
Malaysia Act 1993.
(2) This Act shall come into force on such date as the Minister
may, by notification in the Gazette, appoint.
Interpretation
2. (1)
In this Act, unless the context otherwise requires—
“affiliate” has the meaning assigned to it in the Capital Markets and
Services Act 2007 [Act 671];
“appointed day” means the day on which this Act comes into force;
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Laws of Malaysia
ACT 498
“Audit Oversight Board” means the Audit Oversight Board
established under section 31C;
“Bank Negara Malaysia” means the Central Bank of Malaysia
established under the Central Bank of Malaysia Act 2009 [Act 701];
“Board” means the Board established under section 4;
“Board committee” means any committee established by the Board
under section 18;
“books” has the meaning assigned to it in the Capital Markets and
Services Act 2007;
“capital market” has the meaning assigned to it in the Capital
Markets and Services Act 2007;
“capital market products” has the meaning assigned to it in the
Capital Markets and Services Act 2007;
“central depository” has the meaning assigned to it in the Capital
Markets and Serivces Act 2007;
“Chairman” means the Chairman of the Commission appointed
under paragraph 4(2)(a);
“clearing house” means a clearing house approved under the
Capital Markets and Services Act 2007;
“Commission” means the Securities Commission Malaysia
established under section 3;
“company” has the meaning assigned to it in the Companies Act
1965 [Act 125];
“corporation” has the meaning assigned to it in the Companies Act
1965;
“Court” means—
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(a)
a High Court established under Article 121 of the
Federal Constitution or a Judge of the High Court; or
(b)
a Sessions Court or a Magistrate’s Court established
under section 3 of the Subordinate Courts Act 1948 [Act
92] or a Sessions Court Judge or a Magistrate;
“dealing in derivatives” has the meaning assigned to it in the
Capital Markets and Services Act 2007;
“dealing in securities” has the meaning assigned to it in the Capital
Markets and Serivces Act 2007;
“Deputy Chief Executive” means the Deputy Chief Executive
appointed under paragraph 4(2)(b);
“derivatives” has the meaning assigned to it in the Capital Markets
and Services Act 2007;
“derivatives exchange” has the meaning assigned to it in the Capital
Markets and Services Act 2007;
“derivatives market” has the meaning assigned to it in the Capital
Markets and Serivces Act 2007;
“director” has the meaning assigned to it in the Capital Markets and
Services Act 2007;
“document” has the meaning assigned to it in the Evidence Act
1950 [Act 56];
“exchange” means a stock exchange established under the Capital
Markets and Services Act 2007;
“exchange holding company” has the meaning assigned to it in the
Capital Markets and Services Act 2007;
“Fund” means the fund established under section 23;
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ACT 498
“Islamic capital market business or transaction” means—
(a)
the business of carrying any regulated activity;
(b)
any proposal, scheme, transaction, arrangement, activity
or matter relating to any capital market product, or under
Part IIIA or Part VI of the Capital Markets and Services
Act 2007;
(c)
any transaction relating to a derivative; or
(d)
the establishing, operating or maintaining of a securities
market or a derivatives market,
which is consistent with the principles of Shariah as may be
determined by the Shariah Advisory Council;
“Isl
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