(1) The Exchange Rules may, for subsegments of the regulated market, provide for additional conditions, in addition to the documents to be submitted by the undertaking, for the admission of shares or certificates representing shares, and further notification obligations of the issuer arising from the admission of shares or certificates representing shares, for the protection of the public or for orderly exchange trading.
(2) Where additional conditions under subsection (1) no longer exist, or the issuer fails, even after a reasonable period set for it, to fulfil further notification obligations under subsection (1), the Management may exclude the issuer from the relevant subsegment of the regulated market. Section 25(1), second and third sentences applies accordingly to measures of the Management under this subsection.
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Section 42
Subsegments of the regulated market with special obligations for issuers
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