Article 15
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The securities firm shall deposit the performance bond based on the ETNs issued and outstanding on the last business day of the previous month by the 10th day of a month.
The performance bond in the preceding paragraph shall be deposited in such manner as described in the Regulations Governing Performance Bond Required for Issuance and Additional Issuance of Exchange Traded Notes by Securities Firm, jointly established by the TWSE and Taipei Exchange.
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