110
CAP. 24]
Securities and Futures Commission
[1989 Ed.
2. A function of the Commission under section 4(2), 8(a), 10(1), 12, 14(2), 15, 32(1), 33(10), 39, 40, 41, 43(1), 45(1), 46(1), 47, 50(1) or (5), 51(1) or (5) or 59(2)(g) or (h), the power of the Commission under section 16(1) to appoint auditors and the Commission's power of appointment under section 33(1).
3. A function of the Commission under section 14(3), 26(1), 27, 65B(6), 74(3), 100(2), (3), (4) or (7), 110 or 130(5) of the Securities Ordinance (Cap. 333), the Commission's power of appointment under section 127(1) of that Ordinance in so far as it is exercisable as regards a person who is not an employee of the Commission, the making by the Commission of an order described in section 134(1) of that Ordinance and the Commission's power to apply to the High Court under section 144 of that Ordinance for an order described in subsection (1) of that section.
4. A function of the Commission under section 14(1), 15, 16, 18(1), 19(1), 21(1) or (2), 60A(3), 78 or 113(4) of the Commodities Trading Ordinance (Cap. 250) and the Commission's power to prescribe by virtue of section 13(3)(l) of that Ordinance.
5. A function of the Commission under section 3(1), 3(4), 10A, 34(2), 35(1), 36(1) or 44(3) of the Stock Exchanges Unification Ordinance (Cap. 361),
6466/9053.
35A.AB
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