Past version: effective up to 31/12/2021
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Attention is particularly drawn to:—
(1) the requirement to include a statement of responsibility (see rule 11.12); and
(2) the fact that the Exchange may require disclosure of such additional or alternative items of information as it considers appropriate in any particular case (see rule 11.11). In particular, the Exchange may require the listing document to contain a summary of the relevant regulatory provisions (statutory or otherwise) which apply to companies with a primary listing on the overseas issuer's primary stock exchange, in a form to be agreed upon by the Exchange on a case by case basis.