The company has defined the guidelines and monitoring of investment securities of a company with a person who is responsible for or related to the company's securities trading to prevent conflict of interest or securities in a way that is abusive or cause the company to lose the advantage or not?For example, the company defines prohibiting a person who is responsible for deciding khangop securities company to open trading account, etc.Including past track, according to the guidelines defined by the company? ? This is asked to explain the company's operation guidelines if there is no such article.
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