Description
Table of Contents
Part I General Provisions
Chapter 1 Purposes and Outlines of Revision of Financial Instruments and Exchange Act
Chapter 2 Definition of Securities
Chapter 3 Definition of Derivative Instruments
Part II Disclosure of Corporate Information, etc.
Chapter 1 Disclosure in Primary Market
Chapter 2 Disclosure in Secondary Market
Chapter 3 Ensure the Effectiveness of Issuance and Distribution Disclosure
Chapter 4 Procedures by Electronic Data Processing System for Disclosure
Chapter 5 Proxy-Fight Regulations
Part III Disclosure of Tender Offer
Chapter 1 Overview
Chapter 2 Scope of Application for Tender Offer Regulations
Chapter 3 Disclosure Regulations on Tender Offer
Chapter 4 Substantive Regulations on Tender Offer
Chapter 5 Ensuring Effectiveness of Tender Offer Regulations
Chapter 6 Tender Offer for Share Certificates, etc. by Issuer
Part IV Disclosure of the Status of Large Volume Holding of Share Certificates, etc.
Chapter 1 Overview of Disclosure of the Status of Large Volume Holding
Chapter 2 Obligation to Submit Large Shareholding Report
Chapter 3 Obligation to Submit Change Report
Chapter 4 Disclosures in Change Report Pertaining to Report of Possession of Large Volume
Chapter 5 Special Report
Chapter 6 Delivery of Large Shareholding Reports and Public Inspection
Chapter 7 Systems to Ensure Effectiveness of Disclosure by Large Shareholding Reports
Part V Regulations
Chapter 1 Definition of Financial Instruments Business
Chapter 2 Restrictions on Market Entrants of Financial Instruments Business
Chapter 3 Scope of Work of Financial Instruments Business Operator “Regulations Governing Outside Work”
Chapter 4 Registered Financial Institutions
Chapter 5 Special Provisions for Foreign Business Operators
Chapter 6 Fund Regulations
Chapter 7 Sales Representative
Chapter 8 Financial Instruments Intermediary Service Providers
Chapter 9 Accounting
Chapter 10 Special Provisions Concerning Special Financial Instruments Business Operators, etc.
Part VI Conduct Control Pertaining to Financial Instruments Business Operators etc.
Chapter 1 Professional Investor System
Chapter 2 Regulation on Advertisements, etc., of Financial Instruments Business Operators
Chapter 3 Accountability
Chapter 4 Various Prohibited Acts
Chapter 5 Others
Chapter 6 Special Provisions on Investment Advisory Business, Investment Management Business and Securities Managemen
Chapter 7 Duty of Loyalty and Measures to Prevent Internal Collusion
Chapter 8 Application Mutatis Mutandis of Banking Act, Insurance Business Act and Trust Business Act etc.
Part VII Credit Rating Agencies
Part VIII Financial Instruments Firms Associations
Chapter 1 Financial Instruments Firms Associations
Chapter 2 Certified Investor Protection Organization
Part IX Financial Instruments Exchange, Foreign Financial Instruments Exchange
Chapter 1 Financial Instruments Exchange
Chapter 2 Foreign Financial Instruments Exchange
Part X Financial Instruments Clearing Organization, etc. and Trade Repository, etc.
Part XI Securities Finance Company
Part XII Regulations on Transactions, etc. of Securities
Chapter 1 Insider Trading Regulations
Chapter 2 Market Manipulation Regulations
Chapter 3 Other Unfair Trading Regulations
Part XIII Supervision of Financial Instruments Business and Investor Protection
Chapter 1 Financial Services Agency and Securities and Exchange Surveillance Commission
Chapter 2 Supervisory Dispositions, etc.
Chapter 3 Monetary Penalty System
Chapter 4 Investor Protection Fund
Index