LN 106 of 2005 - Prevention of Financial Markets Abuse (Fair Presentation of Investment Recommendations and Disclosure of Conflicts of Interest) Regulations, 2005 |
LN 107 of 2005 - Prevention of Financial Markets Abuse Act, 2005 (ACT No IV of 2005) Prevention of Financial Markets Abuse (Market Practices and Manipulative Behaviour) Regulations, 2005 |
LN 108 of 2005 - Prevention of Financial Markets Abuse Act, 2005 (ACT No IV of 2005) Prevention of Financial Markets Abuse (Disclosure and Notification) Regulations, 2005 |
"Schedule I of LN 108 of 2005- Notification by Persons Discharging Managerial responsibilities within an Issuer of Financial Instruments and, where applicable, Persons Closely Associated with them, pursuant to Regulation 8 of the Prevention of Financial Markets Abuse (Disclosure and Notification) Regulations, 2005 and Article 10 of the Prevention of Financial Markets Abuse Act, 2005." |
"Schedule II of LN 108 of 2005- Suspicious Transaction Report- Notification by Persons Professionally Arranging Transactions in Financial Instruments pursuant to Regulation 9 of the Prevention of Financial Markets Abuse (Disclosure and Notification) Regulations, 2005 and Article 11 of the Prevention of Financial Markets Abuse Act, 2005." |
Schedule III of LN 108 of 2005 – Notification of List of Insiders pursuant to regulation 7 of the Prevention of Financial Markets Abuse (Disclosure and Notification) Regulations, 2005 and article 9 of the Prevention of Financial Markets Abuse Act, 2005. |
LN 322 of 2005 - Prevention of Financial Markets Abuse (Disclosure and Notification) (Amendment) Regulations, 2005 |
LN 238 of 2008 - Prevention of Financial Markets Abuse (Disclosure and Notification) (Amendment) Regulations, 2008 |
LN 252 of 2008 - Prevention of Financial Markets Abuse (Fair Presentation of Investment Recommendations and Disclosure of Conflicts of Interest) (Amendment) Regulations, 2008 |
LN 294 of 2010 - Prevention of Financial Markets Abuse (Disclosure and Notification) (Amendment) Regulations, 2010 |
COMMISSION REGULATION (EC) No 2273/2003 of 22 December 2003 implementing the Market Abuse Directive of the European Parliament and of the Council as regards exemptions for buy-back programmes and stabilisation of financial instruments |
S.L. 476.04 – Reporting of Infringements Regulations |
L.N. 232 of 2017 – Prevention of Financial Markets Abuse Act - Fair Presentation of Investment Recommendations and Disclosure of Conflicts of Interest (Revocation) Regulations, 2017 |
L.N. 231 of 2017 - Prevention of Financial Markets Abuse Act - Market Practices and Manipulative Behaviour (Revocation) Regulations, 2017 |
L.N. 229 of 2017 – Prevention of Financial Markets Abuse Act - Disclosure and Notification (Revocation) Regulations, 2017 |