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WARREN GANESH

In May, the Securities and Futures Commission launched a consultation on proposals to enhance protection given to individual professional investors and their investment companies or trusts.

In a landmark case a couple of years ago, the judge in charge of company and shareholder disputes in Hong Kong described section 152FA of the Companies Ordinance (Inspection of corporate records by members) as "an often overlooked yet powerful right by which to expose wrongful conduct in relation to the company's affairs".

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