Article NO. Content

Title:

Regulations Governing the Offering and Issuance of Securities by Foreign Issuers 

Amended Date: 2023.12.29 
Article 42     After the issuance of TDRs, the depositary institution shall, within 10 days after the end of each month, submit to the Central Bank a Monthly Report on the Liquidity and Redemption of TDRs (Attachment 39), and input the information to the information disclosure website specified by the FSC.