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Rule 27
<br> who can supervise or give instructions
The Securities Board may inspect the accounts, books, records and other documents related to securities market, broker or market maker's bonds.
(2) If any kind of irregularity is found during the inspection according to sub-rule (1), the Securities Board may give instructions to the securities market, broker or market maker to make necessary corrections and it shall be the duty of such securities market, broker or market maker to comply with such instructions.
(3) The bank may inspect its account books, records and other documents related to bonds of the securities market, broker or market maker as necessary in the course of implementing the monetary policy.
(4) During the inspection according to sub-rule (3), if it appears that the securities market, broker or market maker needs to be dealt with, the bank may send a written notice to the Securities Board for necessary action.