Document Library

A filtered search by topic for all guidance, reports or research documents stored on the FMA website.


Found 1609 results. Displaying page 96 of 108

  1. 30 April 2014

    Securities Trustees and Statutory Supervisors - Feedback from monitoring visits

    This monitoring report and the guidance issued by us in June 2013 on Monitoring by Securities Trustees and Statutory Supervisors have been designed to help licensees move towards best standards of compliance.
    Tags
    Reports and Papers, Independent trustee, Roles, Business, News & Insights, Supervisor
    Type
    PDF
  2. 7 April 2014

    Disclosure of fees paid to auditors by listed issuers 2014

    As part of our thematic review, we reviewed the disclosure of fees paid to the external auditors of a sample of
    listed issuers for balance dates in 2012. This report summarises our findings and the concerns we have about the current quality of disclosure of audit and non-audit fees.
    Tags
    Reports and Papers, Auditors, Roles, Business, News & Insights
    Type
    PDF
  3. 1 April 2014

    FMA’s new role as regulator of conduct

    From 1 April 2014 FMA replaces the Commerce Commission as the primary regulator of conduct in relation to financial products and services. Find out what this means.
    Tags
    FMC Act, Legislation, Regulation update, Business, FMA
    Type
    PDF, Notice
  4. 31 March 2014

    Commerce Commission - MOU

    MOU concerning consultation, cooperation and the exchange of information between the FMA and the Commerce Commission
    Tags
    Regulatory cooperation, FMA
    Type
    PDF, MOU
  5. 1 March 2014

    Unsolicited Offers Monitoring Report 2014

    The Securities Markets (Unsolicited Offers) Regulations 2012 came into force on 1 December 2012, in response to concerns about ’low ball’ offers. FMA closely monitored compliance with the new regulations as one of our focus areas in 2013 for building customer trust. In this report we set out our findings and observations. These are based on our monitoring activities to 14 February 2014.
    Tags
    Compliance, Reports and Papers, Offer information, Business, News & Insights
    Type
    PDF
  6. 1 March 2014

    KiwiSaver schemes monitoring investment risk guidance

    This Guidance Note is designed to assist Trustees of retail non-restricted KiwiSaver schemes (Trustees), in performing their functions effectively.
    Tags
    KiwiSaver providers, Roles, Business, Managed investment schemes
    Type
    PDF, Guidance
  7. 11 February 2014

    ASX Ltd Financial Product Market Licence 2014

    New Zealand Financial Product Market Licence (Australian Securities Exchange Limited) 2014
    Tags
    Market operator, Roles, Licence, Licensing & registration, Business
    Type
    PDF
  8. 1 February 2014

    Broker Obligations guidance note

    The focus of this guidance is on custody of client money and client property, and the key obligation of brokers to hold client money and client property on trust.
    Tags
    Obligations, Client money or property services provider, Roles, Business
    Type
    PDF, Guidance
  9. 1 February 2014

    Investor experience of IPOs - research report

    This document explores attitudes towards investing in New Zealand’s financial markets, understand the experience of investing in New Zealand’s financial markets, understand the
    impact of offer documentation on investment decisions, and additionally, this research aims to provide profiling information on New Zealand investors. February 2014
    Tags
    Reports and Papers, Business, News & Insights
    Type
    PDF, Research