Prudential control

Prudential control

Financial Market Supervisory Authority supervises licensed bodies in order to ensure the sustainable development of the financial market and to protect the interests of investors. An investment company shall comply with prudential norms on capital, internal control system and risk management. The supervision over licensed bodies of the securities market is guided by the Rules on Drafting and Submission of Reports for Investment Company, Rules on Sustainable Capital Requirements for Investment Companies, Requirements on Investment Funds’ and Management Reporting and Rules on Submission and Disclosure.