Prevention of Market abuse and AML
Overview
BACKGROUND INFORMATIONThe session will cover the legislative framework surrounding market abuse and how these interact with the AML obligations of subject persons.OBJECTIVES OF THIS SESSIONThe session aims at highlighting the key obligations and prohibitions arising from the market abuse legal framework.TOPICS ON THE AGENDA- Insider information- Market manipulation- Disclosure of inside information- Insiders' lists- Suspicious transaction report (STR)- Research disclosure
Why Attend?
- Listed entities
- Entities which are considering admissibility to listing
- Investment service providers
Agenda Highlights:
- 09:00 - Registration
- 09:15 - 12:30 - Session time including a 15 minute coffee break
Confirmed Speakers
- Dr Diane Bugeja
Diane practices primarily in financial services law, financial regulation and anti-money laundering regulation, providing advice to local and overseas clients on the impact of the current and forthcoming regulatory regime on their business models. Diane also advises clients on the regulatory aspects of a wide range of transactions, including licensing-related matters, capital markets initiatives and on-going liaison with regulatory authorities more broadly.Diane joined the firm as an Associate in 2016 and was promoted to Senior Associate in January 2017. She was previously a risk and regulatory consultant at a Big Four audit firm, working in Malta and in London, and subsequently joined the enforcement departments of the UK and Maltese financial services regulators. Diane successfully completed her PhD in Law in 2017 and her research focused on the mis-selling of complex investment products to commercial retail investors.She is a visiting lecturer at the University of Malta and is regularly invited to speak at conferences and deliver seminars on various aspects of financial services law and financial crime.
Sponsors
Prevention of Market abuse and AML
April 17, 2020
Lower Ground (LG), Tower Training Centre, Swatar
MIA Malta