Home / Dz.U. 1994 nr 128 poz. 631
Regulation of the Council of Ministers of 11 October 1994 on the detailed conditions that an issue prospectus and information memorandum must meet.
Rozporządzenie Rady Ministrów z dnia 11 października 1994 r. w sprawie szczegółowych warunków, jakim powinien odpowiadać prospekt emisyjny i memorandum informacyjne.
Type
Regulation (Rozporządzenie)
Status
repealed (uchylony)
Announced
1994-10-11
Entry into force
1995-01-06
Texts
Keywords
Trust Fundseconomic activitydocumentsStock ExchangesbilanseconcessionsAccounting recordssecuritiesprawo bankoweMunicipalitiescompaniesFinancial Economyregisterscommissions
Related acts
Repealing Acts (1)
Repealed Acts (1)
Amending Acts (1)
References (2)
Legal Basis from Art. (1)
Acts referring to this act
- Repealing Acts: Regulation of the Council of Ministers of July 29, 1991, on the detailed conditions that a prospectus of securities introduced for public trading must meet.
- Repealed Acts: Regulation of the Council of Ministers of 22 December 1998 on the detailed conditions that a prospectus, a prospectus summary, an information memorandum, and an information memorandum summary must meet.
- Implementing Regulations: Law of March 22, 1991 on the Public Trading of Securities and Trust Funds.
- Amended Acts: Regulation of the Council of Ministers of September 24, 1996, amending the regulation on detailed conditions that an issue prospectus and information memorandum should meet.
- References: Order of the Chairman of the Securities and Exchange Commission of February 14, 1995, on determining the scope of information provided in consolidated financial statements of entities that are issuers of securities admitted or applying for admission to public trading.
- References: Order of the Chairman of the Securities and Exchange Commission of February 14, 1995, on determining stricter criteria than those contained in Article 56(1-3) of the Accounting Act with regard to entities issuing securities admitted or applying for admission to public trading.
- References: Order of the Chairman of the Securities and Exchange Commission of 28 June 1996 on the scope of information and publication obligations for issuers of securities admitted to regulated over-the-counter public trading of securities.
- References: Ordinance of the Chairman of the Securities and Exchange Commission of June 14, 1995, on the scope of additional information provided in the financial statements of banks and consolidated financial statements of banks that are issuers of securities admitted or applying for admission to public trading.
- References: Order of the Chairman of the Securities and Exchange Commission of April 5, 1995, on the scope of additional information provided in financial statements of entities other than banks that are issuers of securities admitted or applying for admission to public trading.