Question 1.1.6a: From 2015 onwards, and after each licensing process, did the licensing authority actually disclose the list of companies that submitted license applications (in the case of a first-come, first served; or negotiation round) or bids (in the case of an auction)?,
1.1.4c: From 2015 onwards, and prior to each licensing process, did the licensing authority actually disclose the rules governing the licensing process, such as auction or negotiation rules?,
2.3.1c: Are there numeric rules governing the size of deposits into the sovereign wealth fund?,
2.3.2d: From 2015 onwards, has the government adhered to the numeric rules governing the size of deposits into the sovereign wealth fund?,
1.3.4a: From 2015 onwards, have environmental mitigation management plans been publicly disclosed?,
2.3.4a: Does the sovereign wealth fund’s most recent publicly available annual financial report specify the rate of return made on its investments?,
2.3.4c: Does the sovereign wealth fund’s most recent publicly available annual financial report specify the fund’s asset allocation by asset class?,
2.3.6b: Were these annual financial reports audited over the most recently completed audit timeframe?

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