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UG-A.1.4

Volume 3 (Insurance) covers insurance licenseesG , i.e. those CBB licensees that solely undertake regulated insurance servicesG . It contains prudential requirements (such as rules on minimum capital and risk management); and conduct of business requirements (such as rules on providing insurance services and the treatment of policyholdersG ). Collectively, these requirements are aimed at ensuring the safety and soundness of the CBB, and providing an appropriate level of protection for policyholdersG .

Added: January 2007
Amended: October 2007
 Versions
(2 Versions)
 
Jul 1 2007 - Sep 30 2007Oct 1 2007 onwards
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