Singapore legislation
Regulation 3
of Financial Advisers (Exemption from Requirement to Hold Financial Adviser’s Licence) Regulations 2014
Regulation 3
Exemption
For the purposes of section 23(1)(f) of the Act, J.P. Morgan Futures Co. Ltd is exempt from the requirement to hold a financial adviser’s licence when providing the financial advisory service of advising accredited investors, expert investors and institutional investors, concerning Chinese futures contracts, either directly or through publications or writings, and whether in electronic, print or other form.