1. Jul 30, 2020: Panel of Auditors' of BSEC (Updated as on July 30, 2020)
2. Mar 12, 2020: Bangladesh Securities and Exchange Commission (Alternative Trading System) Rules, 2019
3. Feb 02, 2020: Panel of Auditors' of BSEC (Updated as on February 02, 2020)
4. Nov 12, 2019: Panel of Auditors' of BSEC (Updated as on 12 November, 2019)
5. Oct 28, 2019: Panel of Auditors' of BSEC (Name of Audit Engagement Partners)
6. Oct 13, 2019: মিউচ্যুয়াল ফান্ড সম্পর্কিত নির্দেশনা
7. Jul 16, 2019: Revised Panel Auditors of BSEC
8. May 27, 2019: একাধিক বিও হিসাবে একই মোবাইল নম্বর, জাতীয় পরিচয়পত্র ও ব্যাংক হিসাব ব্যবহার প্রসঙ্গে।
9. Jul 31, 2018: Amendment to the Notification No. SEC/CMRRCD/2009-193/114/Admin.28 dated October 02,2011 Gazetted on 06.09.2018
10. Jan 02, 2017: বাংলাদেশ সিকিউরিটিজ অ্যান্ড এক্সচেঞ্জ কমিশন (বিনিয়োগ শিক্ষার উন্নয়ন ও প্রশিক্ষন ) বিধিমালা, ২০১৬
11. Dec 21, 2016: Revised Panel of Auditors of BSEC
12. Oct 27, 2016: Bangladesh Securities and Exchange Commission (Qualified Investor Offer by Small Capital Companies) Rules, 2016. Gazette
13. Sep 07, 2016: Notification regarding board meeting, submission of 1st , 2nd , 3rd quarterly (Q1 , Q2 , Q3) financial reports, and disclosure of NAV, EPS and NOCFPS
14. Jul 31, 2016: Panel of Auditors of BSEC
15. May 02, 2016: Gazette Notification; Exemption from rule 13 of the Securities and Exchange Rules, 1987
16. Mar 13, 2016: Gazette Condition Regarding IPO
17. Mar 13, 2016: Gazette Condition Regarding IPO
18. Feb 15, 2016: Regarding Publication of Price Sensative Information (PSI)
19. Jul 16, 2015: Panel of Auditors of BSEC
20. Jun 22, 2015: Gazette of Bangladesh Securities and Exchange Commission (Alternative Investment) Rules, 2015
21. Feb 02, 2015: IPO approval Procedure
22. Jul 01, 2014: পুঁজিবাজারে ক্ষুদ্র বিনিয়োগকারীগণকে মওকুফকৃত ঋনের সুদ মার্চেন্ট ব্যাংক ও স্টক ব্রোকার এর অনুমোদনযোগ্য ব্যয় বিবেচনা প্রসঙ্গে জাতীয় রাজস্ব বোর্ডের সার্কুলার
23. Jul 24, 2013: Bangladesh Securities and Exchanges Commission (Research Analysis) Rules 2013 . Dated July 24 , 2013
24. May 02, 2013: G·‡P‡Äm wWwgDPz¨qvjvB‡Rkb AvBb,2013
25. Feb 20, 2006: Securities and Exchange Commission (Rights Issue) Rules, 2006
26. Feb 20, 2006: Securities and Exchange Commission (Public Issue) Rules, 2006
27. Dec 12, 2001: Securities and Exchange Commission (Over-the-Counter) Rules, 2001
28. Mar 28, 2001: Securities and Exchange Commission (Issue of Capital) Rules, 2001
29. Apr 28, 1999: Margin Rules, 1999
30. Jun 24, 1996: Credit Rating Companies Rules, 1996
31. Sep 29, 1987: Securities and Exchange Rules,1987
32. Jun 28, 1969: Securities and Exchange Ordinance, 1969
1. Jul 08, 2020: Conducting AGM/EGM/BOD’s meeting of listed companies/securities using at the digital platform. Repealed of the order issued on 24.03.2020
2. Jun 22, 2020: Order relating to submission of shareholding position, other reports/information and establishment of digital platform at the stock Exchanges for integrated on-line data gathering and dissemination.
3. Jun 11, 2020: Conducting different meetings of stock exchanges through digital/electronic means.
4. Mar 24, 2020: Conducting AGM)/ EGM/BOD at any digital platform and temporary relaxations regarding compliance with the provisions of Listing Regulations or other securities laws.(Repealed)
5. Mar 19, 2020: Lowest Limit of the Circuit Breaker
6. Nov 14, 2019: Order regarding share price movement in the stock exchange trading
7. Nov 14, 2019: Order to repeal the Order No. SEC/CMRRCD/2001-07/168 dated 13 May 2015
8. Sep 13, 2019: Repeal of the Order No. SEC/CFD/2001/Admin/02-03 dated 04 October 2001
9. Aug 01, 2019: Order for exemption from the provision of section 2A(2)(a) of the Securities and Exchange Ordinance, 1969
10. Jul 25, 2019: Repeal of the Order No. SEC/CFD/2001/Admin/02-03 dated 04 October 2001
11. Jul 16, 2019: Order regarding re-investment of mutual fund
12. Apr 24, 2019: Order Regarding Sponsor of Mutual Fund
13. Feb 20, 2019: Transfer from spot market to public market
14. Nov 28, 2018: Exemption under Section 2D of the Securities and Exchange Ordinance, 1969 to fully foreign owned companies Gazette
15. Oct 17, 2018: Withdrawal of Suspension
16. Sep 17, 2018: Extension of trading suspension
17. Sep 06, 2018: Withdrawal of trade restrictions from DSSL
18. Aug 16, 2018: Orders related to suspension of trading and compulsory spot
19. Jun 10, 2018: বিএসইসি(উল্লেখযোগ্য সংখ্যক শেয়ার অর্জন, অধিগ্রহণ ও কর্তৃত্ব গ্রহণ) বিধিমালা, ২০১৮
20. Oct 23, 2017: Regarding negative equity in the margin accounts with the Merchant Banker
21. Aug 17, 2017: Suspension of the effectiveness of sub-rule (5) of rule 3 of the Margin Rule,1999
22. Jun 13, 2017: বাংলাদেশ সিকিউরিটিজ অ্যান্ড এক্সচেঞ্জ কমিশন (বাজার সৃষ্টিকারী) বিধিমালা, ২০১৭ গেজেট
23. Jun 13, 2017: বাংলাদেশ সিকিউরিটিজ অ্যান্ড এক্সচেঞ্জ কমিশন (ক্লিয়ারিং অ্যান্ড সেটলমেন্ট) বিধিমালা, ২০১৭ গেজেট
24. Feb 19, 2017: Suspension of Rule 3(5) of the Margin Rules 1999
25. Feb 19, 2017: Suspension of Rule 3(5) of the Margin Rules 1999
26. Nov 24, 2016: Order related to granting exemption on companies under PPP
27. Oct 27, 2015: Regarding margin loan to purchase newly listed securities and securities after change of categories (for merchant bankers)
28. Jun 30, 2015: Order for Extension of Suspension of Rule 3(5) of the Margin Rules 1999
29. May 13, 2015: Order regarding circuit breaker
30. Jan 06, 2015: Order for Extension of Suspension of Rule 3(5) of the Margin Rules 1999
31. Sep 30, 2014: Order for Extension of Suspension of Rule 3(5) of the Margin Rules 1999
32. Mar 31, 2014: Extension Order of Suspension of Rule 3(5) of the Margin Rules 1999
33. Sep 26, 2013: Regarding Order to suspend Rule 3(5) of the Margin Rules, 1999
34. Apr 10, 2013: Suspension of rule 3(5) of Margin Rules, 1999
35. Nov 28, 2012: Av‡`k bs GmBwm/wmGgAviAviwmwW/2001-50/167 ZvwiL A‡±vei 01, 2009 evwZj Kivi Av‡`k|
36. Apr 25, 2012: Acquisition of minimum shares by sponsors/promoters and directors of listed “Z” category companies
37. Apr 16, 2012: wmwKDwiwUR I G·‡PÄ Kwgkb (gv‡P©›U e¨vsKvi I †cvU©‡dvwjI g¨v‡bRvi) wewagvjv, 1996 Gi ms‡kvab
38. Feb 13, 2012: Order regarding Mutual Fund
39. Sep 21, 2011: Order related to sell of shares of Sponsors/Directors/5% and above share holders.
40. Sep 15, 2011: Order related to Mutual Fund.
41. Sep 15, 2011: Order related to Uniform face value of shares of Tk. 10 each.
42. Jul 24, 2011: Order related to issue of capital or public offer of securities
43. Dec 01, 2010: Orders related to member's margin
44. Nov 28, 2010: Order related to Member's margin
45. Nov 25, 2010: Order related to Member's margin
46. Jul 25, 2010: Order to merchant bankers related to margin limit adjustment period
47. Jun 07, 2010: Related to brokerage fee/commission collection by merchant bankers
48. Mar 15, 2010: Order to merchant bankers related to margin loan 1:1.5
49. Mar 04, 2010: Order related to depository fee of Tk 150 for January-June 2010
50. Feb 02, 2010: Order related to portfolio managers' margin to 1:1
51. Jan 24, 2010: Order related to close end mutual fund maturity- 10 years and the cases whose 10 years are exceeded
52. Dec 17, 2009: Directive related to marginable MF units for merchant bankers and stock brokers
53. Dec 09, 2009: Directive related to marginable shares for merchant bankers and stock brokersRelated to depository fee year--- July-June instead of January-December
54. Dec 07, 2009: Related to depository fee year--- July-June instead of January-December
55. Oct 20, 2009: Order related to non- margin for non-demated securities
56. Oct 05, 2009: Order related to margin loan
57. Oct 01, 2009: Order related to margin rule
58. Feb 26, 2008: Order clarifying the order dated Feb 03, 2008 related to margin loan, Order26Feb08
59. Feb 03, 2008: Related to margin loan Order03Feb2008
60. Nov 25, 2007: Related to margin loan dated Nov 25, 2007, click on Order 25 Nov 2007
61. Oct 23, 2007: Order related to margin loan
62. Jul 03, 2006: Order related to 'N' category
63. May 30, 2006: Corporate Governance Notification dated 20 Feb 2006
64. Feb 20, 2006: The corporate governance notification can be obtained on click Corporate Governance Notification dated 20 Feb 2006 (Corporate Governance Notification dated 20 February 2006 shall replace the Corporate Governance Order dated 9 January 2006.)
65. Jan 09, 2006: Order related to corporate governance
66. Apr 18, 2005: 18 April 2005 (in Bengali) - Related to Margin Rule
67. Apr 06, 2005: Order related to eligible securities
68. Feb 12, 2005: Committee to investigate DP Premiere Bank Ltd, Equity Partners Ltd & Anwar Securities Ltd
69. Feb 06, 2005: Related to depository accounts
70. Jan 03, 2005: Order related to eligible securities (CDBL)
71. Dec 21, 2004: Temporary suspension of operation of Margin Rules 1999
72. Dec 05, 2004: Order related to eligible securities (CDBL)
73. Dec 05, 2004: Order related to eligible securities (CDBL)
74. Oct 12, 2004: Order related to eligible securities (CDBL)
75. Oct 04, 2004: Order related to eligible securities (CDBL)
76. Sep 25, 2004: Order related to amendment of settlement of transaction regulation 1998 of stock exchanges
77. Sep 15, 2004: Order related to eligible securities (CDBL)
78. Aug 29, 2004: Order related to monthly shareholding position
79. Aug 10, 2004: Order related to eligible securities (CDBL)
80. Jul 18, 2004: Order related to depository
81. Jul 03, 2004: Order related to eligible securities (CDBL)
82. Jun 17, 2004: Order related to eligible securities (CDBL)
83. May 26, 2004: Order related to eligible securities (CDBL)
84. May 11, 2004: Guideline for regulating share price movement
85. May 11, 2004: Related to Settlement of Stock Exchange Transaction Regulations
86. Apr 27, 2004: Order related to eligible securities (CDBL)
87. Apr 10, 2004: Order related to eligible securities (CDBL)
88. Apr 06, 2004: Trade related
89. Mar 18, 2004: Related to partial Order modification
90. Mar 14, 2004: Related to Exchanges
91. Mar 14, 2004: Related to Exchanges
92. Mar 14, 2004: Rescinding previous order
93. Dec 23, 2003: CDBL
94. Dec 09, 2003: Consultative Committee
95. Apr 18, 2002: 18 April 2005 (in Bengali) - Related to Margin Rule
96. Mar 28, 2001: Regarding SEC's conditions relating to the appointment of auditor.
97. Mar 28, 2001: Regarding exemption.
1. Jan 23, 2020: সিকিউরিটিজ ও এক্সচেঞ্জ কমিশন (মার্চেন্ট ব্যাংকার ও পোর্টফোলিও ম্যানেজার) বিধিমালা, ১৯৯৬ এর সংশোধন
2. Jul 06, 2017: Amendments to the Bangladesh Securities and Exchange Commission (Public Issue) Rules, 2015 Gazette
3. Sep 24, 2016: Amendment to the Depository (User) Regulations, 2003
4. Oct 11, 2015: Gazette Notification of Amendments to the Securities and Exchange Commission (Private Placement of Debt Securities) Rules, 2012
5. Jul 08, 2015: Amendment of the Order No. SEC/CMRRCD/2009-193/104/Admin/26 dated July 27, 2011
6. Apr 10, 2014: AMENDMENTS To The Securities & Exchange Rules, 1987
7. Jul 21, 2013: Amendment of Coporate Governance Guidelines
8. Dec 10, 2012: Securities and Exchange (Amendment) Act, 2012
9. Dec 10, 2012: Securities and Exchange Commission (Amendment) Act, 2012 (Bangla)
10. Apr 16, 2012: wmwKDwiwUR I G·‡PÄ Kwgkb (gv‡P©›U e¨vsKvi I †cvU©‡dvwjI g¨v‡bRvi) wewagvjv, 1996 Gi ms‡kvab
11. Mar 12, 2012: Amendment to the Securities and Exchange Commission (Merchant Banker and Portfolio Manager) Rules, 1996
12. Mar 12, 2012: Amendment to the Securities and Exchange Commission (Stock-dealer, Stock-broker and Authorized Representative) Rules, 2000
13. Mar 12, 2012: Amendment to the Securities and Exchange Commission (Issue of Capital) Rules, 2001
14. Feb 09, 2012: Amendment to the Securities and Exchange Commission (Stock Dealer, Stock Broker, Authorized Representative) Rules, 2000 regarding renewal of registration certificate of Authorized Representative
15. Dec 20, 2011: Amendment to the wmwKDwiwUR I G·‡PÄ Kwgkb (gv‡P©›U e¨vsKvi I †cvU©‡dvwjI g¨v‡bRvi) wewagvjv, 1996
16. Nov 02, 2011: Amendment to the Securities and Exchange Commission (Rights Issue) Rules, 2006
17. Oct 13, 2011: Amendment to the Securities and Exchange Commission (Mutual Fund) Rules-2001
18. Oct 05, 2011: Amendment to the Securities and Exchange Commission (Public Issue) Rules, 2006
19. Mar 16, 2011: Amendment of Mutual Fund 14.03.2011
20. Mar 16, 2011: Amendment to the Merchant Bankers rule-06.3.11
21. Oct 10, 2010: Amendment to Stock Broker, Stock Dealer and Authorized Representative Rules 2000
22. Nov 17, 2009: Amendment of Credit Rating Companies Rules 1996
23. Jul 09, 2009: Conditions under 2CC to the issue of capital
24. Jul 02, 2009: Amendment of Capital Issue Rules, 2001
25. Apr 20, 2009: Amendment of Securities and Exchange Commission (Merchant Bank and Portfolio Manager) Rules, 2006
26. Aug 14, 2008: Amendment of Securities and Exchange Commission (Stock Dealer, Stock Broker & Authorized Representatives) Rules-2000, click for the Notification August 14, 2008
27. Jul 24, 2008: Amendment of Securities and Exchange Commission (Public Issue) Rules-2006, click for the Notification July 24, 2008
28. Jun 16, 2008: Amendment of Securities and Exchange Commission (Mutual Fund) Rules-2001, click for the Notification June 16, 2008
29. Jun 16, 2008: Amendment of Securities and Exchange Commission (Merchant Banker and Portfolio Manager) Rules 1996, click for the Notification June 16, 2008
30. May 06, 2007: Amendment of Depository User Regulations 2003
31. Jul 20, 2006: Amendment of Depository User Regulations 2003
32. Jan 09, 2006: Amendment of Securities and Exchange Commission (Acquisition of Substantial Share and Take Over ) Rules-2002, click for the Notification 09 January 2006
33. Jan 09, 2006: Amendment of Securities and Exchange Commission (Asset Backed Securities Issue) Rules-2004, click for the Notification 09 January 2006
34. Jan 09, 2006: Amendment of Securities and Exchange Commission (Stock Dealer, Stock Broker & Authorized Representatives) Rules-2000, click for the Notification 09 January 2006
35. Jan 09, 2006: Amendment of Securities and Exchange Commission (Mutual Fund) Rules-2001, click for the Notification 09 January 2006
36. Jan 09, 2006: Amendment of Securities and Exchange Commission (Market Maker) Rules-2000, click for the Notification 09 January 2006
37. Jan 09, 2006: Amendment of Securities and Exchange Commission (Custodial Service) Rules-2003, click for the Notification 09 January 2006
38. Jan 09, 2006: Amendment of Securities and Exchange Commission (Stock Dealer, Stock Broker & Authorized Representatives) Rules-2000, click for the Notification 09 January 2006
39. Feb 13, 2005: Amendment of transaction settlement regulation 1998
40. Feb 12, 2005: Amendment of margin regulation 2000 of DSE and CSE
41. Dec 21, 2004: Temporary suspension of operation of Margin Rules 1999
42. Dec 21, 2004: Amendment of regulation (Member's Margin) of stock exchanges
43. Jun 09, 2004: Amendments related to DSE Automated Trading Regulations,1999
44. Jun 09, 2004: Amendments related to guidelines for regulating the share price movement in the stock exchanges tradings
1. Oct 02, 2018: মেয়াদী মিউচ্যুয়াল ফান্ডের (Close-end Mutual Fund) এর মেয়াদ পুন:নির্ধারণ প্রসংগে Gazetted on 23.10.2018
2. May 02, 2016: Regarding payment of money after dissolution of mutual fund scheme
3. Sep 09, 2015: Official Signatory of the Asset Management Company
4. Jul 08, 2015: Conversion guideline for close-end to open-end mutual fund
5. Jun 30, 2015: Regarding the maintenance of provision against unrealized losses arising from investment in mutual fund units
6. Jul 24, 2013: mwKDwiwUR I G·‡PÄ Kwgkb (wgDPz¨qvj dvÛ) wewagvjv, 2001 Gi ms‡kvab , ZvwiL 24/07/2013Bs
7. Jan 08, 2013: mwKDwiwUR I G·‡PÄ Kwgkb (wgDPz¨qvj dvÛ) wewagvjv, 2001 Gi ms‡kvab
1. Jun 02, 2020: Exclusion of the period of general holidays in counting time for certain regulatory compliances
2. Jan 30, 2020: Time extension for further 2(two) years i.e. up to December 31,2022 of the Directive No. BSEC/CMRRCD/2009-193/203 dated December 28,2017 for Merchant Bankers
3. Jan 12, 2020: Time extension for further 2(two) years i.e. up to December 31,2022 of the Directive No. BSEC/CMRRCD/2009-193/203 dated December 28,2017 for Stock Brokers & Stock Dealers.
4. Aug 01, 2019: Directive on block of securities
5. Aug 01, 2019: Directive on lock-in period
6. Jun 26, 2019: Amendment to the Directive No.SEC/CMRRCD/2002-90/34 dated July 29, 2008 on reporting of transactions of the branch offices of the stock brokers
7. Dec 10, 2018: Directive on Maintenance of provision by Merchant Bankers against investment in mutual funds
8. Mar 11, 2018: Directive regarding joint-holding of minimum 30% shares by sponsors/promoters and directors
9. Feb 20, 2018: Directive regarding code of conduct of eligible investors
10. Dec 28, 2017: Time Extension for provisioning of unrealized loss
11. Dec 28, 2016: wb‡`©kbvt ÷K †eªvKvi/÷K wWjvi I gv‡P©›U e¨vsKv‡ii wbR¯^ I g‡°‡ji †cvU©‡dvwjI‡Z cybtg~j¨vqbRwbZ Abv`vqK…Z ÿwZi wecix‡Z iwÿZe¨ cªwfkb msiÿY msµvšÍ
12. Dec 07, 2016: Directive No. BSEC/SRMIC/194-217/508
13. Dec 01, 2016: Directive regarding direct listing of unlisted securities
14. Sep 28, 2016: Directive No. BSEC/SRMIC/2011-1240/494
15. Sep 07, 2016: Directive regarding Time limit for stock exchanges for recommendation on public issue
16. Sep 01, 2016: Directive on withdrawal of non-marginable security status of the shares of Shahjibazar Power Company Limited
17. Jun 20, 2016: Directive on Guidelines on financial derivatives
18. Apr 27, 2016: Directive No. BSEC/SRMIC/2011/1240/445 dated April 27, 2016
19. Oct 27, 2015: Regarding margin loan to purchase newly listed securities and securities after change of categories (for stock brokers)
20. Jul 14, 2015: Directive No. BSEC/Surveillance/2014-0840/683 dated July 14, 2015
21. May 14, 2015: Directive regarding distribution of dividend, fractional bonus share and rights share to the margin accountholders of the stock brokers
22. Mar 19, 2015: Directive No. BSEC/Enforcement/2188/2014/89 dated March 19, 2015
23. Mar 04, 2015: Repeal Directive No. SEC/SRMIC/2007-18/1178/270 dated October 12, 2011
24. Jan 27, 2015: Directive No. BSEC/Enforcement/2137/2014/20 dated January 27, 2015
25. Jan 25, 2015: Repeal Directive No. SEC/CMRRCD/2004-129-378 dated December 19,2004
26. Jan 12, 2015: wb‡`©kbvt ÷K †eªvKvi/÷K wWjvi I gv‡P©›U e¨vsKv‡ii wbR¯^ I g‡°‡ji †cvU©‡dvwjI‡Z cybtg~j¨vqbRwbZ Abv`vqK…Z ÿwZi wecix‡Z iwÿZe¨ cªwfkb msiÿY msµvšÍ
27. Nov 10, 2014: Directive to First Securities Services Limited
28. May 28, 2014: wgDPz¨qvj dv‡Ûi m¤ú` e¨e¯’vc‡Ki wd msµvšÍ wb‡`©kbvt
29. Jul 21, 2013: Repeal of Directive dated February 14, 2010 by this Directive dated July 21, 2013
30. Jun 06, 2013: Directive to stock exchanges not to buy/sell/transfer any fixed assets before demutualization
31. Feb 27, 2013: Directive: Regarding Unrealized Loss Provision by the stock Broker/Merchant Banker
32. Dec 30, 2012: Non-Discretionary Portfolio Management Gi †¶‡Î Agwbevm wnmve †_‡K MÖvn‡Ki c„_K weI wnmve Gi i“cvš—i
33. Nov 28, 2012: Directive to repeal clause 2 of the directive No. SEC/CMRRCD/2001-43/169 dated October 01, 2009.
34. Sep 30, 2012: Directive: Regarding Margin Ratio by the Merchant Banker
35. Sep 30, 2012: Directive: Regarding Margin Ratio by the Stock Broker
36. Oct 18, 2011: Directive
37. Oct 18, 2011: Directive
38. Oct 17, 2011: Directive
39. Apr 10, 2011: Directive 10.4.11
40. Mar 10, 2011:
Directive-10.3.11
41. Feb 10, 2011: Directive-10.2.11
42. Jan 20, 2011: Directive-20.1.11
43. Jan 17, 2011: Directive-NM from OTC-16.1.11
44. Jan 11, 2011: Directive-stock broker-Margin Loan-10.1.11-92
45. Jan 11, 2011: Directive Merchant Bank-10.1.11-93
46. Jan 11, 2011: Directive10.01.11-Netting & Spot-94
47. Jan 11, 2011: Directive Mutual Fund-11.1.11
48. Jan 11, 2011: Directive Merchant Banker Rule-10.1.11-95
49. Jan 09, 2011: Directive Margin Rin-Merchat-Investor-09.1.11-91
50. Jan 09, 2011: Directive-stock broker-Investors limit09.1.11-90
51. Jan 09, 2011: Directive Merchat-09.1.11-89
52. Jan 09, 2011: Directive 09.01.11-broker-87
53. Jan 09, 2011: Directive 09.01.11-broker-88
54. Dec 13, 2010: Directive to stock brokers related to margin loan
55. Dec 13, 2010: Directive to merchant bankers related to margin loan
56. Nov 30, 2010: Directive regarding sending shares of 14 company to spot market
57. Nov 21, 2010: Directive to merchant bankers regarding margin loan
58. Nov 21, 2010: Directive to stock-brokers regarding margin loan
59. Sep 28, 2010: Directive related to delisting of companies under Z category which will fail to demat within 30 September 2010
60. Sep 21, 2010: Directive related to consideration of PE ratio and margin calculation
61. Sep 06, 2010: Directive related to netting and NAV calculation and margin call
62. Aug 30, 2010: Directives to merchant bankers and stock brokers about limit of 50% of NAV of MF instead of 15%.
63. Jul 25, 2010: Directive to stock brokers related to margin limit and adjustment period
64. Jul 25, 2010: Directive to stock brokers related to single client exposure limit
65. Jul 22, 2010: Directive to merchant bankers related to single client exposure limit
66. Jul 14, 2010: Directive to sponsor unit holders and private placement holders of mutual fund on declaration before buy/sell/other dispose off
67. Jul 08, 2010: Directive on margin issue to merchant bankers and portfolio managers
68. Jul 08, 2010: Directive on margin issue to stock brokers
69. Jul 04, 2010: Directive to companies which declared layoff
70. Jul 01, 2010: Directive related to declaration by sponsor, director, placement holder for selling/disposing off shares/units
71. Jun 15, 2010: Directive to brokers/dealers related to marginable shares' PE ratio
72. Jun 15, 2010: Directive to brokers/dealers related to marginable shares' PE ratio
73. Jun 15, 2010: Directive to merchant banks related to marginable shares' PE ratio
74. Mar 23, 2010: Directive related to margin requirement calculation
75. Mar 15, 2010: Directive related to stock brokers margin loan 1:1.5
76. Mar 04, 2010: Directive related to merchant banker margin for mutual fund extended up to 15% of latest disclosed NAV
77. Mar 04, 2010: Directive related to stock broker margin for mutual fund extended up to 15% of latest disclosed NAV
78. Feb 18, 2010: Directive to GP & Marico related to trade in spot market
79. Feb 14, 2010: Needs approval from SEC before submission of nomination in election of exchange board of directors
80. Feb 08, 2010: Directive related to stopping netting facility for GP shares
81. Feb 02, 2010: Directive related to members' margin ratio to 1:1.5
82. Feb 02, 2010: Directive related to members' margin ratio to 1:1
83. Feb 01, 2010: Directive related to stopping margin for equity shares with PE more than 50
84. Jan 31, 2010: Directive related to uniform software for members of both stock exchanges within April 30, 2010
85. Jan 17, 2010: Directive related to quarterly financial statement publication in the website
86. Oct 26, 2009: Directive to merchant bankers, portfolio managers to stop further margin loan for all listed MFs
87. Oct 26, 2009: Directive to merchant bankers, portfolio managers to stop further margin loan for all listed MFs
88. Oct 26, 2009: Directive to DSE, CSE about all listed MFs related to margin loan
89. Oct 26, 2009: Directive to merchant bankers, portfolio managers to stop further margin loan for all listed MFs
90. Oct 21, 2009: Directive to merchant bankers, portfolio managers to stop further margin loan for 28 listed securities
91. Oct 21, 2009: Directive to DSE, CSE about 28 listed securities related to margin loan
92. Oct 20, 2009: Directive to DSE, CSE related to stock broker branch opening
93. Oct 20, 2009: Directive to DSE, CSE not to consider non-dematted securities as marginable
94. Oct 20, 2009: Directive to DSE, CSE related to transaction of physical shares
95. Oct 04, 2009: Directive related to OTC market
96. Oct 01, 2009: Directive to DSE and CSE
97. Oct 01, 2009: Directive
98. Sep 06, 2009: Directive related to OTC market in DSE
99. Jun 24, 2009: Directive to DSE and CSE
100. May 27, 2009: Directive on branch opening for stock broker
101. Dec 01, 2008: Directive relating to transaction of physical shares, circuit breaker and suspension of trading, click for the Directive 01December 2008
102. Oct 16, 2008: Time for BO Account regularization is extended up to 31 December 2008, click for the directive 16 October2008-Directive on BO Account Regulation
103. Jul 29, 2008: Directive related to opening of branch for stock brokers, please click Directive 29 July 2008
104. Dec 03, 2007: Withdrawal of previous directive SEC/SRMID/94-231/1533 dated Nov 19, 2007, click on Directive 03 Dec 2007
105. Nov 25, 2007: Withdrawal of previous directive SEC/SRMID/94-231/1534 dated Nov 19, 2007, click on Directive 25 Nov 2007
106. Nov 19, 2007: Directive to merchant bankers to stop providing any further margin loan or credit facilities
107. Nov 19, 2007: Directive to broker/dealers to stop providing any further margin loan or credit facilities
108. Dec 12, 2006: Directive to Southeast Bank Ltd related to distribution of under subscribed shares
109. Jun 21, 2006: Related to suspension of transfer of shares of Oriental Bank Ltd
110. Aug 11, 2005:
Directs AIMS of Bangladesh Limited (Asset Management Company), Bangladesh General Insurance Company Limited (Trustee), Standard Chartered Bank (Custodian) and the Sponsors of the aforesaid Fund to extend the subscription period by further 10 (ten) consecutive banking days following the existing closing date of 11.08.2005.
111. Dec 12, 2004: Submission of financial statements for Merchant Bankers
112. Dec 12, 2004: Directive
113. Apr 20, 2004: Trading Related
114. Mar 23, 2004: Related to Exchanges
115. Mar 16, 2004: Investor's Interest
1. Feb 05, 2020: Regarding sale of assets of any listed company
2. Feb 05, 2020: Clarification for Orders and Notifications including Corporate Governance Code
3. Feb 05, 2020: Regarding appointment or re-appointment of any member of the Board of Directors of any listed Company
4. Sep 03, 2019: Amendments to the Bangladesh Securities and Exchange Commission (Public Issue) Rules, 2015
5. Aug 01, 2019: Condition for IPO and Rights Issue
6. Aug 01, 2019: Repeal of Notification No. BSEC/CMRRCD/2009-193/170/Admin/60 dated 11 June 2015
7. Aug 01, 2019: Repeal of five Notifications
8. Jul 15, 2019: Regarding declaration of bonus share
9. Jul 15, 2019: Regarding holding of Shares by Sponsors and directors
10. May 29, 2019: Bangladesh Securities and Exchange Commission (Risk Based Capital Adequacy) Rules, 2019.
11. May 29, 2019: Bangladesh Securities and Exchange Commission (Investment Sukuk) Rules, 2019.
12. May 28, 2019: Bangladesh Securities and Exchange Commission (Short-Sale) Rules, 2019
13. May 28, 2019: Bangladesh Securities and Exchange Commission (Exchange Traded Derivatives) Rules, 2019.
14. Jan 30, 2019: Bangladesh Securities and Exchange Commission (Qualified Investor Offer by Small Capital Companies) Rules, 2018
15. Aug 08, 2018: Financial Reporting and Disclosure
16. Jun 03, 2018: Corporate Governance Code
17. May 29, 2018: Notification regarding lock-in for IPO shares
18. Jun 13, 2017: Bangladesh Securities and Exchange Commission (Exchange Traded Fund) Rules, 2016. Gazette
19. Jun 11, 2015: Exemption to the foreign owned companies and the joint venture companies with foreign investment form the compliance of the Commission's Notification No. SEC/CMRRCD/2006-159/36/Admin/03-44 dated May 5, 2010
20. Dec 18, 2014: Notification Regarding Conditions for issue of capital, rights issue and IPO
21. Nov 13, 2014: Notification Regarding Annul General Meeting
22. Aug 10, 2014: Notification Regarding Exemption from Condition No.2 of the Consent Letter dated 29 October 2003 for Lafarge Surma Cement Ltd.
23. May 28, 2014: Notification Regarding Exemption from Condition of Corporate Governances Guideline for ICB.
24. Aug 18, 2013: Notification,Pre-Condition of Right Issue(Complianes of Corporate Governance Guidelines), Dated: August 18,2013
25. Aug 18, 2013: Notification, Revaluation of Assets to Issue of Capital; Dated:August 18, 2013
26. Mar 13, 2013: Gazette Notification of the Securities and “Exchange Commission(Private Placement of Debt Securities) Rules,2012”
27. Oct 21, 2012: Securities and Exchange Commission (Private Placement of Debt Securities) Rules, 2012
28. Sep 03, 2012: Revised Corporate Governance Guidelines
29. Jan 17, 2012: Free Float Gi msÁv wba©viY msµvš— MwVZ KwgwUi mfvi Kvh©weeiYx †cÖiY cÖm‡½|
30. Dec 07, 2011: Notification for clarification of certain issues, in continuation of the Notification No. SEC/CMRRCD/2009-193/119/Admin/34 dated November 22, 2011
31. Nov 23, 2011: Steps Taken for Stabilizing Capital Market
32. Nov 22, 2011: Notification under section 2CC regarding holding of shares by sponsors/promoters and directors
33. Oct 26, 2011: Notification regarding Book Building Method
34. Oct 02, 2011: Notification-Conditions under Section 2cc in case of issuance for the Security other than right and bonus share.
35. Aug 24, 2011: Notification regarding the insurance companies
36. Aug 17, 2011: List of Valuers for re-evaluation of assets and liabilities of state owned companies willing for listing in capital market
37. May 09, 2011: Notification 08.5.11
38. Mar 28, 2011: Advisory Committee
39. Jan 20, 2011: Notification 20.1.11
40. Dec 29, 2010: Notification regarding Book Building Method
41. Nov 14, 2010: Notification related to the consent of issue of capital
42. Sep 06, 2010: Notification related to imposition of further conditions to the issue of capital /public offer of securities for sale
43. Aug 31, 2010: Notification on amendment of Public Issue Rules, 2006
44. Aug 04, 2010: Repeal of order of May 30, 2006
45. Aug 01, 2010: Notification related to book building
46. Jul 27, 2010: Notification related to substantial acquisition of shares
47. Jun 30, 2010: Notification related to annual BO accounts maintenance fee
48. Jun 15, 2010: Notification on amendment of OTC Market Rules related to definition of unlisted securities
49. Jun 01, 2010: Paper securities under B category will be transferred to Z category on 01 July 2010 and no trade of paper securities shall take place from 01 October 2010-replace the order of 31 May 10.
50. May 31, 2010: Paper securities under B category shall not be traded from 01 July 2010 and be transferred to Z category and no trade of paper securities shall take place from 01 October 2010
51. May 31, 2010: Notification on amendment in Mutual Fund Rules related to lock-in and placement limit
52. May 10, 2010: Notification related to 10 taka phase value of share
53. May 05, 2010: Time Extension of ICB Mutual Funds
54. May 05, 2010: Notification on issue of capital related to conversion to public ltd company and public offer
55. May 04, 2010: Notification related to record date and AGM
56. Apr 18, 2010: Letter to Bangladesh Bank about MICR
57. Apr 06, 2010: Notification related to amendment of OTC Rules, 2001
58. Mar 23, 2010: Notification related to amendment of Prohibition of Insider Trading Rules 1995
59. Mar 11, 2010: Notification related to public issue
60. Mar 11, 2010: Notification related to mutual fund lock-in.
61. Mar 01, 2010: Circular related to standardized face value of share Tk 100 and market lot
62. Feb 11, 2010: Clarification related to institutional investors
63. Feb 09, 2010: Notification related to transfer of dividend
64. Feb 09, 2010: Notification related to refund of IPO application money for unsuccessful applicants
65. Feb 01, 2010: Presentation of quarterly financial statement
66. Oct 05, 2009: Notification
67. Oct 01, 2009: Notification
68. Sep 27, 2009: Notification
69. Jun 01, 2009: No.SEC/CMRRCD/2009-193/Admin/03-31: Notification about NAV & EPS
70. Jun 01, 2009:
No. SEC/CMRRCD/2008-183/Admin/03-30:Notification under 2CC related to further conditions to the consent already accorded by it, or deemed to have been accorded by it, or to be accorded by it in future
71. Mar 11, 2009: Notification on book building method
72. Jun 04, 2008: Notification about financial statements, click for the Notification June 4, 2008
73. Nov 19, 2007: Notification about inclusion of father's name, mother's name and certificate of bank account in BO account, click on BO AC Notification
74. Oct 02, 2007: Notification related to margin rule
75. Apr 05, 2007: Notification about Conditions of Registration Certificate
76. Jul 11, 2004: Notification dated 11 July 2004 related to insider trading
77. Apr 11, 2004: Notification dated 11 April 2004-Related to amendment of depository user regulation 2003
78. Mar 20, 2004: Notification dated 20 March 2004 -Amendment in notification
79. Aug 01, 2002: SEC's notification on restructuring of "Z" group companies
80. Mar 28, 2001: Regarding amendments in the Securities and Exchange Rules, 1987.
81. Mar 28, 2001: Securities and Exchange Commission (Capital Issue of Public Limited Company) Rules, 2001
82. Mar 25, 2001: Regarding conditions in buying or selling or disposing off the shares held by the sponsor or director.
83. Jul 20, 2000: Notification (20 July 2000) effecting depository act 1999