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Searching Content indexed under Securities by Mason Hayes & Curran ordered by Published Date Descending.
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1
ESMA Answers New Questions On Market Abuse
The Market Abuse Regulation (MAR) regulates insider dealing, provision of information to the markets, market manipulation and the reporting of directors' dealings for all quoted companies.
Ireland
18 Oct 2017
2
Good News For SMEs Accessing Financing On Capital Markets?
EU Regulation 2017/1129 (the Prospectus Regulation) came into force in July 2017. It relates to the publication of prospectuses when either an offer of securities is made to the public or securities...
Ireland
11 Oct 2017
3
New Company Law Changes Introduced By Companies (Accounting) Act 2017
The Companies (Accounting) Act 2017 (the "2017 Act") is a sizeable piece of legislation. It makes many new changes to the Companies Act 2014 (the "2014 Act"). The majority of these changes impact...
Ireland
2 Jun 2017
4
Investment Funds Update: IOSCO Publishes Good Practice For Fund Fees And Expenses
In August, the International Organisation of Securities Commissions published its final report on Good Practice for Fees and Expenses of Collective Investment Schemes.
Ireland
24 Oct 2016
5
Corporate Law Update: The Atlantic Securities Market – A New Opportunity?
The Atlantic Securities Market is a new opportunity for companies seeking a dual listing in the US and Ireland.
Ireland
27 Apr 2016
6
Corporate Law Update: New EU Prospectus Regulation
The European Commission is attempting to overhaul the existing Prospectus Directive regime.
European Union
6 Apr 2016
7
MHC Times Issue 37 Autumn 2015
Welcome to the 37th issue of MHC Times. In this issue, we look at Ireland's relationship with Europe and what we have to offer as a country across various sectors.
Ireland
21 Dec 2015
8
EU Capital Markets Union – Review Of Prospectus Requirements
As an early step towards the Capital Markets Union, the European Commission's proposed changes to the prospectus regime are expected before the end of 2015.
European Union
30 Nov 2015
9
Removal Of Promoter Requirement, New UCITS Reporting Requirements And New UCITS Regulations
From 1 November 2015, the Central Bank of Ireland (the "Central Bank") will no longer require Undertakings for Collective Investments in Transferable Securities ("UCITS") to have a promoter.
Ireland
20 Nov 2015
10
Welcome New Changes To The Law Requiring Disclosure Of Interests In Shares And Debentures
The Companies Act 2014 has brought about changes to the disclosure obligations relating to the interests of directors and secretaries in shares, debentures and share options.
Ireland
5 Nov 2015
11
Companies Act 2014 – Dawn Of A Simpler Era: Part 2
In this article I will summarise the effects of the new Irish Companies Act 2014 (CA 2014) on the types of corporate transaction that we come across regularly in day-to-day practice.
Ireland
29 Apr 2015
12
Building A Capital Markets Union In Europe
On 18 February 2015, the European Commission (the "Commission") published its Green Paper on Building a Capital Markets Union ("CMU") inviting contributions from all interested parties by 13 May 2015...
Ireland
14 Apr 2015
13
The Companies Acts 2014 – Registration Of Charges And Priority
The Companies Act 2014 was enacted on 23rd December 2014 and will become effective from 1 June 2015.
Ireland
20 Mar 2015
14
Final Report On Guidelines On Remuneration Policies Under MIFID
On 11 June 2013, following a consultation paper in September 2012 (the "Consultation Paper") and advice received from the Securities and Markets Stakeholder Group (the "SMSG") (together the "Feedback"), the European Securities and Markets Authority ("ESMA") issued its final report (the "Report") on its guidelines on the remuneration policies and procedures under the markets in financial instruments directive ("MiFID") (the "Guidelines").
European Union
23 Aug 2013
15
Draft RTS For Assessment Of Acquisitions Under MIFID
On 8 July 2013, the European Securities and Market Authority ("ESMA") issued a consultation paper on regulatory technical standards ("RTS") applicable to the assessment of proposed acquisitions and increases in holdings in investment firms (the "Consultation Paper").
Ireland
22 Aug 2013
16
Consultation Paper On The Clearing Obligations Under EMIR
On 12 July 2013, the European Securities and Market Authority ("ESMA") published a discussion paper (the "Discussion Paper") on the clearing obligations applicable under the European Markets Infrastructure Regulation ("EMIR"), on which they are seeking stakeholder’s views on regulatory technical standards ("RTS") which will implement provisions of EMIR.
Ireland
22 Aug 2013
17
ESRB Issues Recommendations On Money Market Funds
On 19 February 2013, the European Systemic Risk Board published its recommendations on money market funds.
Ireland
22 Apr 2013
18
Updated UCITS Notices, Guidance Notes And Application Forms
On 15 February 2013, the Central Bank of Ireland published updated versions of its UCITS Notices and Guidance Notes.
Ireland
22 Apr 2013
19
ESMA Q&A On Guidelines To ETFs And Other UCITS Issues
The European Securities and Markets Authority has recently issued a questions and answers paper on its guidelines on exchange traded funds and other issues relating to undertakings for collective investment in transferable securities.
Ireland
19 Apr 2013
20
Process For UCITS SMIC Business Plan Filings Confirmed
The Central Bank of Ireland has outlined the process through which revised Business Plans of authorised UCITS self-managed investment companies will be filed with the Central Bank.
Ireland
6 Mar 2013
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