Schedule 1 – Definitions
Term | Definition |
“Category 1” | has the meaning ascribed to it in the VA Issuance Rulebook. |
“CBDC” | has the meaning ascribed to it in the Regulations. |
“CBUAE” | means the Central Bank of the United Arab Emirates. |
“Client Agreement” | has the meaning ascribed to it in the Market Conduct Rulebook. |
“Client Money” | has the meaning ascribed to it in the Compliance and Risk Management Rulebook. |
“Client VAs” | has the meaning ascribed to it in the Compliance and Risk Management Rulebook. |
“Company Rulebook” | means the Company Rulebook issued by VARA pursuant to the Regulations, as may be amended from time to time. |
“Compliance and Management Rulebook” | means the Compliance and Risk Management Rulebook issued by VARA pursuant to the Regulations, as may be amended from time to time. |
“Custody Services” | has the meaning ascribed to it in the Regulations. |
“Directive” | has the meaning ascribed to it in the Regulations. |
“Dubai VA Law” | means Dubai Law No. [4] of 2022 Regulating Virtual Assets in the Emirate of Dubai, as may be amended from time to time. |
“Emirate” | means all zones across the Emirate of Dubai, including Special Development Zones and Free Zones but excluding the Dubai International Financial Centre. |
“Entity” | means any legal entity or individual. |
“Federal AML-CFT Laws” | has the meaning ascribed to it in the Regulations. |
“Fiat-Referenced Virtual Asset” or “FRVA” | has the meaning ascribed to it in Rule I.A.1 of these FRVA Rules. |
“FRVA Rules” | means these Fiat-Referenced Virtual Assets Issuance Rules issued by VARA pursuant to the Regulations, as may be amended from time to time. |
“Group” | has the meaning ascribed to it in the Company Rulebook. |
“Insolvency Proceedings” | has the meaning ascribed to it in the Regulations. |
“Insolvent” | has the meaning ascribed to it in the Regulations. |
“Insurance” | has the meaning ascribed to it in the Company Rulebook. |
“Market Conduct Rulebook” | means the Market Conduct Rulebook issued by VARA pursuant to the Regulations, as may be amended from time to time. |
“Marketing” | has the meaning ascribed to it in the Marketing Regulations. |
“Marketing Regulations” | has the meaning ascribed to it in the VA Issuance Rulebook. |
“Net Liquid Assets” | has the meaning ascribed to it in the Company Rulebook. |
“Paid-Up Capital” | has the meaning ascribed to it in the Company Rulebook. |
“Reference Currency” | has the meaning ascribed to it in Rule I.A.4 of these FRVA Rules. |
“Regulations” | means the Virtual Assets and Related Activities Regulations 2023, as may be amended or supplemented by VARA from time to time. |
“Reserve Assets” | has the meaning ascribed to it in Rule I.A.5 of these FRVA Rules. |
“Senior Management” | has the meaning ascribed to it in the Company Rulebook. |
“Significant FRVA Issuer” | means a VASP designated by VARA in accordance with Rule I.C.1 of these FRVA Rules. |
“Technology and Information Rulebook” | means the Technology and Information Rulebook issued by VARA pursuant to the Regulations, as may be amended VARA from time to time. |
“VA Issuance Rulebook” | means the Virtual Asset Issuance Rulebook issued by VARA pursuant to the Regulations, as may be amended or supplemented by VARA from time to time. |
“VARA” | means the Dubai Virtual Assets Regulatory Authority. |
“Virtual Asset” or “VA” | has the meaning ascribed to it in the Dubai VA Law. |
“Whitepaper” | has the meaning ascribed to it in the VA Issuance Rulebook. |
“Working Day” | means any day which is not a weekend or public holiday in the Emirate. |