Author: Camilleri Preziosi

ESMA Q&As on MiFID II/ MiFIR investor protection & intermediaries topics

On 3 October 2019, the European and Securities Markets Authority (ESMA) published an updated version of its Q&As on investor protection and intermediaries topics under Markets in Financial Instruments Directive (“MiFID II”) and Markets in Financial Instruments Regulation. The updated Q&As modify the answer to question 8 on best execution concerning how the Regulatory Technical […]

Read Full Article

Cross-Border Pre-Marketing Regime applicable to AIFs

In July 2019, the so-called ‘AIFMD 2’ – Directive (EU) 2019/1160 amending Directives 2009/65/EC and 2011/61/EU with regard to cross-border distribution of collective investment undertakings (the “Directive”) entered into force. The Directive is complemented by Regulation (EU) 2019/1156 on facilitating cross-border distribution of collective investment undertakings. Though for the purposes of this article, focus will […]

Read Full Article

Sustainable Finance: the EU Sustainable Investment Regulation

On 25 September 2019 the Council of the European Union announced that it has agreed its position on a proposal to create an EU-wide classification system, or “taxonomy”, in order to establish a common framework to facilitate sustainable investment as part of the EU strategy on financing sustainable growth and the transition to low-carbon, resource-efficient […]

Read Full Article

Malta Budget 2020 – Highlights

On 14 October 2019 the Malta Budget for the year 2020 was presented to the Parliament of Malta. Various incentives were introduced in order to aid the elderly and to tackle the affordable housing challenges faced by people.  Moreover, the Budget presented measures intended to combat climate change. To read our summary of the salient […]

Read Full Article

The effectiveness of the ML/FT: prioritising disruption over asset recovery

I had the pleasure of listening to Prof Barry Rider OBE at the 30th ICC Fraudnet Conference in Beirut on 11th October 2019 which specifically addressed asset recovery, confiscation and anti-fraud measures in the banking system. ICC FraudNet is a specialist international network of fraud and asset recovery lawyers that brings together an unrivalled team […]

Read Full Article

There is no right to appeal from an order of the court for the liquidation and winding up of a company – Court of Appeal

In its decision of the 27th September 2019 in the names Marina Milling & Grain Handling Co. Limited (MMGH Ltd.) vs Euro Imports Limited, the Court of Appeal decided for the first time, that an order by the First Hall, Civil Court, ordering a company to be liquidated and subsequently wound up in terms of […]

Read Full Article

Shareholders Rights Directive II – implications for Asset Managers

On 10 June 2019 the amended European Shareholder Rights Directive II (the “Directive”) came into force. This Directive includes transparency obligations which aim to encourage long-term shareholder engagement and  impacts institutional investors (pension funds and insurers) and asset managers (MiFID firms providing portfolio management services, AIFMs – except for de minimis AIFMs, UCITS ManCos and […]

Read Full Article

Final ESMA Guidelines on UCITS and AIFs Liquidity Stress Tests

In September 2019, the European Securities and Markets Authority (“ESMA”), in fulfilment of the European Systemic Risk Board recommendations to address liquidity and leverage risk in investment funds, published its final guidelines on liquidity stress testing (“LST”) in undertakings for the collective investment in transferable securities (“UCITS”) and alternative investment funds (“AIFs”)(the “Guidelines”). The purpose […]

Read Full Article

Pre-Merger gun-jumping again – PayPal fined by UK Competition Authority

In line with the increasingly tough stance taken to “jumping the gun” in merger proceedings by other competition authorities, the UK Competition & Markets Authority (CMA) recently imposed a penalty on PayPal for failing to comply with an Initial Enforcement Order (IEO) issued by it pending its investigation into the US payments giant’s acquisition of […]

Read Full Article

Circular on Markets in Financial Instruments Directive (“MiFID II”) and Markets in Financial Instruments Regulations (“MiFIR”)

On 20 September 2019, the Malta Financial Services Authority (the “MFSA”) issued a circular on the go live of MiFID II XML Schema version 1.1.0, aiming to provide further information and technical remarks about the go live of the new portal. The publication follows the release of technical remarks about the MiFID II Phase 2 […]

Read Full Article