Rules
Practice Notes
Practice Note 1 [Deleted]
Practice Note 2: Requests for Suspension
[Updated as at 10 January 2023]
Practice Note 3: [Deleted]
Practice Note 4 [Deleted]
Practice Note 5: Training for Directors
[Updated as at 1 August 2023]
Practice Note 6 [Deleted]
Practice Note 7: Classification of Applicants or Listed Issuers
[Updated as at 3 June 2019]
Practice Note 8 [Deleted]
Practice Note 9: Risk Management and Internal Control, Corporate Governance and Sustainability Statement
[Updated as at 31 December 2023]
Practice Note 10 [Deleted]
Practice Note 11: Provision of Financial Assistance
[Updated as at 13 July 2015]
Practice Note 12: Recurrent Related Party Transactions
[Updated as at 2 January 2018]
Practice Note 13: Requirements for Directors and Signatory of Statutory Declaration for Accounts
[Updated as at 1 June 2023]
Practice Note 14: Principal of Aggregation for Transactions
[Updated as at 3 August 2009]
Practice Note 15 [Deleted]
Practice Note 16: Cash Companies
[Updated as at 1 January 2022]
Practice Note 17: Criteria & Obligations of PN17 Issuers
[Updated as at 1 January 2022]
Practice Note 18: Perusal of Draft Circulars and Other Documents
[Updated as at 13 August 2020]
Practice Note 19: Public Security Holding Spread
[Updated as at 1 March 2021]
Practice Note 20: Trading Halt
[Updated as at 2 January 2018]
Practice Note 21: Listing Procedures for Initial Admission
[Updated as at 10 January 2023]
Practice Note 22: Transfer of Listed Corporations to the Main Market
[Updated as at 1 January 2022]
Practice Note 23: Listing Procedures for Specific Applicants
[Updated as at 1 January 2022]
Practice Note 24: Listing Procedures for Foreign Listing
[Updated as at 10 January 2023]
Practice Note 25: Listing Procedures for New Issue of Securities By Issuers with Secondary Listing
[Updated as at 1 January 2022]
Practice Note 26: Listing Procedures of Sukuk and Debt Securities
[Updated as at 1 January 2022]
Practice Note 27: Listing Procedures for Structured Warrants
[Updated as at 2 January 2024]
Practice Note 28: Listing Procedures for New Issues of Securities
[Updated as at 1 January 2022]
Practice Note 29: Saving and Transitional Provisions
[Updated as at 3 August 2009]
Practice Note 30: Enforcement Proceedings & Related Matters
[Updated as at 8 May 2013]
Practice Note 31: Stapled Securities
[Updated as at 31 December 2015]
Practice Note 32: Additional Requirements for Listed Issuers Involved In MOG Activities
[Updated as at 13 March 2019]
Practice Note 33: Specific Proposal
[Updated as at 1 January 2022]
Archives
-
All other years
Practice Note 20A: Listing Procedures For Structured Warrants
[Effective: 8 May 2009]No. 20/2007 Trading Halt
[Effective: 3 Sep 2007]
[Last updated: 23 Apr 2008]No. 19/2006 Public Shareholding Spread
[Effective: 28 Dec 2006]No. 18/2005 Perusal Of Draft Circulars and Other Documents
[Effective: 3 Jan 2005]No. 17/2005 Criteria and Obligations Pursuant to Paragraph 8.14C of the Listing Requirements
[Effective: 3 Jan 2005]
[Last updated: 23 Apr 2008]No. 16/2005 Cash Companies
[Effective: 3 Jan 2005]
[Last updated: 23 Apr 2008]No. 15/2003 Continuing Education Programmes
[Effective: 1 Jul 2003]
Repealed with effect from 1 Jan 2005. See Media Release dated 29 Sep 2004No. 14/2002 Requirements on Transactions and Related Party Transactions
[Effective: 1 Jan 2003]
[Last updated: 9 Apr 2007]No. 13/2002 Requirements Relating to Directors and Signatory to Statutory Declaration Accompanying Annual Audited Accounts
[Effective: 1 Jan 2003]No. 12/2001 Recurrent Related Party Transactions of a Revenue Nature
[Effective: 1 Jul 2001]-
Appendix A
[Last updated: 1 Dec 2006]
No. 11/2001 Provision of Financial Assistance
[Effective: 1 Jul 2001]
[Last updated: 1 Dec 2006]No. 10/2001 Level of Operations
[Effective: 1 Jul 2001]
Repealed with effect from 3 Jan 2005. See Media Release dated 30 Nov 2004No. 9/2001 Disclosure in Relation to the Malaysian Code on Corporate Governance and the State of Internal Control
[Effective: 1 Jun 2001]No. 8/2001 Submission of Semi-Annual Returns
[Effective: 1 Jun 2001]No. 7/2001 Classification of Applicants or Listed Issuers
[Effective: 1 Jun 2001]
[Last updated: 23 Apr 2008]No. 6/2001 Independent Directors
[Effective: 1 Jun 2001]No. 5/2001 Training for Directors
[Effective: 15 Feb 2001]No. 4/2001 Criteria and Obligations Pursuant to Paragraph 8.14 of the Listing Requirements
[Effective: 15 Feb 2001]
Repealed with effect from 3 Jan 2005. See Media Release dated 30 Nov 2004No. 3/2001 Disclosure in Relation to Internet Related Businesses or E-Commerce Activities
[Effective: 1 Jun 2001]No. 2/2001 Requests for Suspension
[Effective: 1 Jun 2001]
[Last updated: 23 Apr 2008]No. 1/2001 Default in Payment
[Effective: 1 Jun 2001] -
Disclaimer:
- These documents contain the Main Market Listing Requirements which have been updated as at the date above and are posted on this website for the public's reference only. You should always refer to these Listing Requirements and Practice Notes together with any subsequent amendments issued from time to time by Bursa Malaysia Securities Berhad.
- In the event of any conflict or discrepancy between the English text of the Main Market Listing Requirements and any translation, the English version will prevail in determining the spirit, intent, substance and meaning of the Main Market Listing Requirements.