Reprint as at 1 December 2016
(SR 2003/363)
Securities Act (Overseas Employee Share Purchase Schemes) Exemption Amendment Notice (No 4) 2003: revoked, on 1 December 2016, pursuant to Schedule 1 clause 26 of the Financial Markets Conduct Regulations 2014 (LI 2014/326).
Changes authorised by subpart 2 of Part 2 of the Legislation Act 2012 have been made in this eprint. See the notes at the end of this eprint for further details.
This notice is administered by the Financial Markets Authority.
Pursuant to the Securities Act 1978, the Securities Commission gives the following notice.
(1)
This notice is the Securities Act (Overseas Employee Share Purchase Schemes) Exemption Amendment Notice (No 4) 2003.
(2)
In this notice, the Securities Act (Overseas Employee Share Purchase Schemes) Exemption Notice 20021 is called “the principal notice”.
“the principal notice”
This notice comes into force on the day after the date of its notification in the Gazette.
Schedule 2 of the principal notice is amended by inserting, after the item “Sweden”, the item “Switzerland”.
“Sweden”
“Switzerland”
Dated at Wellington this 9th day of December 2003.
The Common Seal of the Securities Commission was affixed in the presence of:
J Diplock,
Chairperson.
[LS]
This note is not part of the notice, but is intended to indicate its general effect.
This notice, which comes into force on the day after the date of its notification in the Gazette, amends the Securities Act (Overseas Employee Share Purchase Schemes) Exemption Notice 2002 to include Switzerland as a specified overseas jurisdiction for listed overseas issuers for the purposes of that notice.
Issued under the authority of the Legislation Act 2012.
Date of notification in Gazette: 11 December 2003.
This is an eprint of the Securities Act (Overseas Employee Share Purchase Schemes) Exemption Amendment Notice (No 4) 2003 that incorporates all the amendments to that notice as at the date of the last amendment to it.
This eprint is not an official version of the legislation under section 18 of the Legislation Act 2012.
Financial Markets Conduct Regulations 2014 (LI 2014/326): Schedule 1 clause 26
1 SR 2002/329