COLL 12.6.12 Changes to disclosure about business with affected persons—REITs

If after the initial disclosure there is a significant change in the information and statements required under rule S5.18 relating to the competing business of an affected person, the operator must notify the unitholders of the change.

Note For service and form of notices to unitholders, see rules 11.1.2 and 11.1.3. Notice may be given in the fund's latest filed prospectus.

Inserted by QFCRA RM/2016-1 (as from 19th September 2016)