Article 8 |
Where a SITE applies for the listing of a closed-end securities investment trust fund ("closed-end fund"), the listing contract shall specify the name, issuing date, number of units to be issued, amount of each unit and the total amount of issuance of the closed-end fund to be listed.
Where a SITE or a FTE applies for the listing of the beneficiary certificate of an exchange-traded securities investment trust fund, exchange-traded futures trust fund (collectively "ETF"), or an active exchange-traded securities investment trust fund ("active ETF") the listing contract shall specify the name, issuing date and minimum net asset value of the ETF or the active ETF to be listed. The listing contract for the beneficiary certificate of an ETF that is linked as referred to in Article 37, Paragraph 4 of the Regulations Governing Securities Investment Trust Funds shall also specify the name of the offshore ETF to which such ETF is linked.
In the event that any addition, deletion or amendment of the listed beneficiary certificate referred to in the preceding two paragraphs occurs thereafter, the content of addition, deletion or amendment specified in the Application for Listing of Beneficiary Certificates or Application for Change of Contents of Listed Beneficiary Certificates, as approved by the TWSE, shall constitute an integral part of the beneficiary certificate listing contract.
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