Bills Committee on Securities and Futures (Amendment) Bill 2011
Sixth meeting on
Tuesday, 6 December 2011, at 8:30 am
in Conference Room 2A of the Legislative Council Complex
Agenda
I. | Meeting with the Administration
(8:30 am - 10:25 am)
Follow-up to issues arising from previous meetings
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| LC Paper No. CB(1)527/11-12(01) (attached)
| - | List of follow-up actions arising from the discussion at the meeting on 24 November 2011
|
| LC Paper No. CB(1)527/11-12(02) (attached)
| - | Administration's response to issues raised at the meeting on 24 November 2011
|
| LC Paper No. CB(1)433/11-12(02) (English version issued on 23 November 2011, Chinese version issued on 24 November 2011))
| - | Administration's paper on "Proposed scope of persons covered and liability of' 'officers' under the PSI regulatory regime"
|
| LC Paper No. CB(1)261/11-12(02) (issued on 4 November 2011)
| - | Administration's paper on "Definition of Price Sensitive Information"
|
| LC Paper No. CB(1)135/11-12(01) (issued on 21 October 2011)
| - | Administration's paper on "Draft Guidelines on Disclosure of Inside Information"
|
| Clauses-by-clause examination of the Bill (starting with proposed section 307N(1)(d))
|
| LC Paper No. CB(3)952/10-11 (issued on 24 June 2011)
| - | The Bill
|
| LC Paper No. CB(1)17/11-12(01) (issued on 11 October 2011)
| - | Marked-up copy of the Bill prepared by the Legal Service Division
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II. | Any other business
(10:25 am - 10:30 am)
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Council Business Division 1
Legislative Council Secretariat
5 December 2011