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Bapepam-LK Rules - English Version
 
   
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In general, all rules issued by Bapepam-LK are defined into the following groups:

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Securities Exchanges
> Clearing and Guarantee Corporation (CGC)
> Central Securities Depositary (CSD)
> Investment Funds
> Securities Companies, Securities Companies Representatives, and Investment Advisors
> Capital Market Supporting Institutions
> Capital Market Supporting Professionals
> Issuers and Public Companies
> Public Documents and Reports to Bapepam-LK

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Sanctions

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Other Rules

 


   

Securities Exchange

   
III.A.1 Securities Exchange Licensing Procedures
III.A.2 Procedures For Rule-Making By Securities Exchanges
III.A.3 Directors of Securities Exchanges
III.A.4 Procedures for Making and Proposing An Annual Budget and Profit Utilization Plan of a Securities Exchange
III.A.5 Procedures for Approval of the Articles of Association of a Securities Exchange
III.A.10 Securities Transactions
III.A.11 Auction of Securities Exchange Shares
III.A.12 Securities Exchanges Commissioners
III.B.6 Exchange Transaction Settlement Guarantee
III.B.7 Guarantee Fund
X.A.1 Securities Exchange Reports
X.A.2 Maintenance Of Documents by Securities Exchanges
 

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Clearing Guarantee Corporation

   
III.B.1 Clearing Guarantee Institutions Licensing Procedures
III.B.2 Procedures for Rule-Making by a Clearing Guarantee Institution
III.B.3 Requirements of Candidates for Directors and Commissioners of a Clearing Guarantee Institution
III.B.4 Procedures for Making and Proposing An Annual Budget and Profit Utilization Plan of a Clearing Guarantee Institution
III.B.5 Procedures for Approval of the Articles of Association of a Clearing Guarantee Institution
III.B.8 Clearing Guarantee Institution Commissioners
X.B.1 Clearing Guarantee Institution Reports
X.B.2 Maintenance of Documents  by a Clearing Guarantee Institution
 

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Central Securities Depository (CSD)

   
III.C.1 Central Securities Depository Licensing Procedures
III.C.2 Procedures for Rule-Making by a Central Securities Depository
III.C.3 Requirements of Candidates for Directors and Commissioners of a Central Securities Depository
III.C.4 Procedures for Making and Proposing An Annual Budget and Profit Utilization Plan of a Central Securities Depository
III.C.5 Procedures for Approval of the Articles of Association of a Central Securities Depository
III.C.6 Internal Controls and Administrative Procedures of a Central Securities Depository
III.C.7 Securities Sub Account With Central Securities Depository
III.C.8 Central Securities Depository Commissioners
X.C.1 Central Securities Depository Reports
X.C.2 Documents Maintenance by a Central Securities Depository
 

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Investment Funds

   
  Investment Funds Inspections
II.F.4 Investment Fund Inspections
Investment Funds Compliance Audit
II.F.14 Guidelines of Investment Fund Compliance Audit
  Collective Investment Funds
IV.A.1 Application Procedures for Obtaining a Business License as an Investment Fund in Corporate Form
IV.A.2 Guidelines for Articles of Association of a Corporate Investment Fund
IV.A.3 Management of a Corporate Investment Fund
IV.A.4 Management Contracts of a Corporate Investment Fund
IV.A.5 Custodial Contract of a Corporate Investment Fund
  Collective Investment Fund Contracts
IV.B.1 Guidelines For The Management of Investment Fund In The Form of Collective Investment Contracts
IV.B.2 Guidelines for Contract of Investment Fund In The Form Collective Investment Contracts
IV.B.3 Exchange Traded Fund
IV.C.5 Private Equity Fund
  Investment Fund Management
IV.C.2 Fair Market Value of Securities in Investment Fund Portfolio
IV.C.3 Guidelines for the Announcement of Net Asset Value of Open-end Investment Funds
IV.C.4 Guidelines for the Management of Protected, Guaranted and Index Fund
IV.D.2 Investor Profile
X.D.1 Investment Fund Reporting
  Accounting Standards
VIII.G.8 Accounting for Investment Funds
VIII.G.9 Information in the Financial Highlights Section of Investment Funds
VIII.G.11 The Responsibility of Board of Directors on Financial Statement
VIII.G.12 Audit Guidelines for Accountant Regarding Subscriptions and Allotments of Securities Or Distribution Of Bonus Shares
  Registration Statement
IX.C.4 Registration Statement for a Public Offering of an Investment Fund in the Form of Corporation
IX.C.5 Registration Statement for a Public Offering of an Investment Fund in the Form of a Collective Investment Contract
IX.C.6 The Form and Content of a Prospectus for a Public Offering of an Investment Fund
 

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Securities Companies, Securities Company Representatives, and Investment Advisors

   
  Securities Company
V.A.1 Securities Company Licensing Procedures
V.C.3 Securities Pricing Agency
V.D.1 Supervision of Representatives and Employees of Securities Company
V.D.3 Internal Controls and Book Keeping of Securities Companies
V.D.4 Control and Protection of Securities Deposited with a Securities Company
V.D.5 Maintenance and Reporting of Net Adjusted Working Capital
V.D.6 Financing for Securities Transaction Settlement by Securities Company for Clients
V.D.7 Principal Provisions Regarding Subordinated Loan Agreement by a Securities Company
V.D.8 Activity of A Securities Company in Various Location
V.D.9 Guidelines For Agent Agreement Of Member Of Stock Exchange Securities Company 
V.D.10 “Know Your Client” Principles 
V.E.1 Code of Conducts for Securities Companies Acting as Broker-Dealers
V.F.1 Code of Conducts for Securities Companies Acting as Underwriters
X.E.1 Obligation to Submit Periodical Reports By Securities Companies
  Securities Company Representatives
V.B.1 Licensing of Securities Company Representatives
V.B.2 Licensing for Investment Fund Marketing Agent Representatives
  Investment Fund Selling Agent
V.B.3 Registration of Investment Fund Selling Agent
V.B.4 Code of Conduct for Investment Fund Selling Agent
  Investment Advisors
V.C.1 Licensing of Investment Advisors
V.H.1 Prohibited Investment Advisors Conduct
X.F.1 Reports by Investment Advisors
X.F.2 Investment Advisors Record-Keeping and Maintenance Responsibilities
X.F.3 Disclosures by Investment Advisors of Interests in Securities
  Investment Fund Management
V.G.1 Prohibited Investment Manager Conduct
V.G.3 Record Keeping For Decision Making by Investment Managers
V.G.5 Investment Manager Functions Relating to Assets Backed Securities
IX.C.15 Registration Statement for a Public Offering by a Real Estate Investment
Trust in the form of Collective Investment Contract
IX.C.16 Guidelines Concerning the Form and Content of Prospectus for a Public Offering by Real Estate Investment Trust in the Form of Collective Investment Contract
IX.K.1 Guidelines for Asset Backed Securities Collective Investment Contracts
IX.M.1 Guidelines For Investment Manager and Custodian Bank That Manage Real Estate Investment Trust in the Form of Collective Investment Contract
IX.M.2 Guidelines For Collective Investment Contract of Real Estate Investment Trust in the Form of Collective Investment Contract
X.N.1 Monthly Investment Manager Activity Reports
 

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Capital Market Supporting Institution

   
  Custodian Banks
VI.A.1 Approval of A Commercial Bank As A Custodian
VI.A.2 Functions of Bank Custodians Related to Asset Backed Securities
VI.A.3 Securities Accounts at Custodians
X.G.1 Reports of Commercial Banks As Custodians
X.G.2 Maintenance of Document by Commercial Banks as Custodians
  Securities Administration Agencies (Transfer Agents)
VI.B.1 Licensing of a Securities Administration Agency
X.H.1 Reports from Securities Administration Agencies and Companies That Perform Their Own Securities Administration
X.H.2 Maintenance of Documents by Securities Administration Agencies and Issuers Performing Their Own Securities Administration
  Trust Agents
VI.C.2 Registration of A Commercial Bank As A Trust Agent
VI.C.3 The Credit and Guaranteeing Relationship Between The Issuer And Trust Agents
X.1.1 Reports of Trust Agents
X.I.2. Documents To Be Maintained by Trust Agents
 

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Capital Market Supporting Professionals

   
  Accountants
VIII.A.1 Registration of Accountant Engaging in Capital Market Activities
VIII.A.2 Independence of Accountant Who Is Giving Audit Services In Capital Market
X.J.1 Reports to Bapepam by Accountants
X.J.2 Periodic Report of Accountant's Activities
  Legal Consultants
VIII.B.1 Registration of A Legal Consultant Operating in the Capital Market
  Appraisers
VIII.C.1 Registration of An Appraiser To Operate in the Capital Market
VIII.C.2 Appraiser Independence in Conducting Business in Capital Market
X.J.4 Periodic Report on Activity of An Appraiser
  Notaries
VIII.D.1. Registration of A Notary To Operate in the Capital Market
 

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Issuers and Public Companies

   
  Content of A Registration Statement and A Public Offering
IX.A.1 General Requirements Regarding Submission of a Registration Statement
IX.A.2 Registration Procedures for A Public Offering
IX.A.3 Procedures for Requesting Amendments and or Additional Information to a Registration Statement
IX.A.4 Procedures for Suspending of a Public Offering
IX.A.5 Offering That Are Not Considered To Be Public Offerings
IX.A.6 Restrictions on Shares Issued Prior to  Public Offering
IX.A.7 Responsibilities of Underwriters With Respect to Subscriptions and Allotments of Securities in a Public Offering
IX.A.8 Preliminary Prospectus and Information Memorandum
IX.A.9 Promotions Marketing Securities Including Advertisements, Brochures, or Other Public Communications
IX.A.10 Public Offerings of Indonesia Depositary Receipts
IX.A.11 Public Offerings of Debt Securities Denominated in Foreign Currency
IX.A.12 Public Offering By Shareholders
IX.A.13 Issuance of Sharia Securities
II.K.1 Criteria and Issuance of List of Sharia Based Securities
IX.A.14 Contracts Used In Issuance Of Sharia-Based Securities in Capital Market
IX.C.1 Form and Content of A Registration Statement for a Public Offering
IX.C.2 Guidelines Concerning the Form and Content of a Prospectus for a Public Offering
IX.C.3 Guidelines Concerning the Form and Content of a Summary Prospectus for a Public Offering
IX.C.7 Guidelines for the Form and Content of a Registration Statement for a Public Offering by a Medium or Small Business
IX.C.8 Guidelines Concerning the Form and Content of A Prospectus for A Public Offering by a Medium or Small Business
IX.C.9 Registration Statement for Asset Backed Securities Public Offering
IX.C.10 Guidelines of Form and Content of Prospectus for a Public Offering of Asset Backed Securities
IX.C.12 Guidelines For Form and Content of Registration Statement for Municipal Bond Public
Offering
IX.C.13 Guidelines Concerning The Form And Content Of A Prospectus For Municipal Bond Public Offering
IX.C.14 Guidelines For Form and Content of Summary Prospectus for Municipal Bond Public Offering
  Pre-emptive Rights
IX.D.1 Pre-emptive Rights
IX.D.2 Guidelines Concerning the Form and Content of a Registration Statement for Issuing Pre-emptive Rights
IX.D.3 Guidelines Concerning the Form and Content of a Prospectus for Issuing Pre-emptive Rights
IX.D.4 Capital Increases Without Pre-emptive Rights
IX.D.5 Bonus stock
  Public Company Registrations
IX.B.1 Guidelines for the Form and Content of a Public Company Registration Statement
  Other Rules
IX.E.2

Material Transaction and Changing in Core Business

IX.I.1 Planning and Conducting the General Meeting of Shareholders
IX.I.2 Requirements for Securities Certificates
IX.I.3 The Issuance of Foreign Depositary Receipts
IX.I.4 Formation of the Corporate Secretary
IX.I.5 Guidelines on Establishment and Working Implementation of Audit Committee
IX.I.6 Director and Commissioner of Issuers and Public Companies
IX.I.7 Forming and Charter's Compilation Guidance of Internal Audit Unit
IX.C.11 Debt Securities Rating
  Conflicts of Interest
IX.E.1 Conflicts of Interest on Certain Transactions
  Tender Offerings
IX.F.1 Tender Offers
IX.F.2 Guidelines Concerning the Form and Content of A Tender Offer Statement
IX.F.3 Guidelines On the Form and Content of Statement of A Target Company and Other Persons With Regard to A Tender Offer
  Mergers
IX.G.1 Mergers and Consolidations of Public Companies and Issuers
Open Company Takeover
IX.H.1 Open Company Takeover
  Reports by Certain Shareholders
X.M.1 Disclosure Requirements for Certain Shareholders
  Articles of Association
IX.J.1 Articles of Association of Companies Conducting Public Offerings and Public Companies
  Quasi Reorganization
IX.L.1 Prosedures For Conducting Quasi Reorganization
  Reporting Requirements for Issuers and Public Companies
VIII.G.2 Annual Reports
X.K.1 Disclosure of Information that must be made Public Immediately
X.K.2 Obligation to Submit Periodic Financial Statements
X.K.4 Reports on The Use of Funds Received From a Public Offering
X.K.5 Disclosure of Information by Issuers Or Public Companies Regarding Bankruptcy
X.K.6 Obligation to submit annual report for Issuers or Public Companies
X.K.7 Time Frame for Submission of Periodic Financial Statement and Annual Report for Issuers and Public Companies that List Their Securities both in Indonesian Securities Exchanges and Foreign Securities Exchanges
  Accounting Standards
VIII.G.5 Guidelines for Drafting Comfort Letters
VIII.G.6 Guidelines for Preparing a Representation Letter By Management Regarding Accounting
VIII.G.7 Guidelines for the Preparation of Financial Statements
VIII.G.10 Accounting for Foreign Currency Transactions (Revoked)
VIII.G.11 Responsibility of Board of Directors on Financial Statement
VIII.G.12 Audit Guidelines for Accountant in Securities Subscription and Allotment or Stock Dividend Issuance
VIII.G.13 Accounting Treatment of Repurchase Agreeement (Repo) using Master Repurchase
Agremeent (MRA)
VIII.G.14 Guidelines for Preparing Regional Government Financial Statements
VIII.G.15 Guidelines for Preparing Comfort Letter for a Public Offering of Municipal Bond
VIII.G.16 Guidelines for Preparing Representation Letter by Governor/Head of District/Mayor (Head of Regional Government) in a Public Offering of Municipal Bond
  Fraud, Market Manipulation, and Insider Trading
XI.B.1 Stabilization to Facilitate a Public Offering
XI.B.2 Repurchases of Shares That Have Been Issued By An Issuer Or Public Company
XI.C.1 Insider Securities Transactions That Are Not Prohibited
 

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Public Documents and Reports to Bapepam

   
IIA.1 Documents That Are Open To the Public
II.A.2 Repurchases For Submitting Documents For The Public To The Capital Market
II.A.3 Letters, Reports And Other Documents That Are Sent To Bapepam
 

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Sanction

XIV.B.1 Procedures For Charging Administrative Sanction In The Form of Fine
   
   
   

Other Rules

II.E.1

Rulemaking Procedures

III.D.1

Organizer of Govermant Debt Securities Trading

III.E.1 Futures Contract and Option On Securities Or On Securities Index
X.M.3

Bond Transaction Reporting

II.J.1

The Charging of Annual Fees to Stock Exchange, Clearing and Guarantee Corporation and Depository and Settlement Corporation;

   
 

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