C 2
[Subsidiary]
LN292/90
CAP. 250] Commodities Trading (Contract Levy) Rules [1985 Ed.
(2) Where audited accounts furnished under paragraph (1) show that an incorrect amount of contract levy has been paid for any period, an adjustment shall be made in the amount of contract levy payable thereafter, over such period as the Commissioner may determine.
LN292/90
To:
SCHEDULE
COMMODITIES TRADING (CONTRACT LEVY) RULES
FORM OF RETURN
Securities and Futures Commission
Commissioner for Commodities Trading
From: The Exchange Company
Return of leviable transactions during the month of
Commodity
Total [rule 3.] 19 No. of transactions Buy Sell TotalI certify that the above return is a true record of leviable transactions during the month of
19
Dated
Signed
Chairman,
The Exchange Company.
1
1
C 2
[Subsidiary]
LN292/90
CAP. 250] Commodities Trading (Contract Levy) Rules [1985 Ed.
(2) Where audited accounts furnished under paragraph (1) show that an incorrect amount of contract levy has been paid for any period, an adjustment shall be made in the amount of contract levy payable thereafter, over such period as the Commissioner may determine.
2~292/90
To:
SCHEDULE
COMMODITIES Trading (ConTRACT LEVY) RULES
FORM OF RETURN
Securities and Future Commission
Commissioner for Commodities Trading
From: The Exchange Company
Return of leviable transactions during the month of
Commodity
Total
[rule 3.]
19
No. of transactions
Buy
Sell
Total
I certify that the above return is a true record of leviable transactions during the
month of
19
Duted
Signed
Chairman,
The Exchange Company.
1
1
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