Overview of Part I
In this part, we will focus on duties of the directors of a listed company, as well as the directors’ liability for breaching Listing Rule obligations and the inclusion of inaccurate information in the listing document. We will explain the obligations to publicly disclose price sensitive information under Part XIVA of the Securities and Futures Ordinance and where the Hong Kong Stock Exchange suspects the existence of a false market in the company’s shares or enquires about unusual movements in their price or trading volume. This part will also provide information on restrictions on providing material information about the company or its securities to investment analysts.
We look forward to meeting you for Part I!
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