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| 2008 |
| Date | Subject |
| 07/05/2008 | Circular regarding the publication of the Investment Services Rules as amended to transpose the Capital Requirements Directive Pillar I requirements on consolidated supervision. |
| 14/03/2008 | Fourth Circular – First Consultation Document on the Transposition of the Capital Requirements Directive Pillar I requirements on consolidated supervision |
| 10/03/2008 | Pension Advertising Circular |
| 2007 |
| Date | Subject |
| 23/11/2007 | Amendments to the Guidance Notes to the Investment Services Rules for Investment Services Providers |
| 30/10/2007 | Circular regarding the publication of Investment Services Rules and Financial Market Rules and other Developments related to the transposition and implementation of the Markets in Financial Instruments Directive |
| 31/01/2007 | Circular regarding the transposition of MiFID and CRD |
| 10/01/2007 | Third Circular - Attachment II - Invitation – CRD Presentation |
| 10/01/2007 | Third Circular - Attachment I - CRD - Automated Financial Return – Test |
| 10/01/2007 | Third Circular - 2nd Consultation document on the transposition of the Capital Requirements Directive |
| 2006 |
| Date | Subject |
| 06/12/2006 | Second Circular – 1st Consultation document on the transposition of the Capital Requirements Directive |
| 22/09/2006 | Proposed regulatory requirements concerning Performance Fees payable by retail collective investment schemes |
| 22/09/2006 | Proposed regulatory requirements concerning Performance Fees payable by retail collective investment schemes - Appendix 1 |
| 15/09/2006 | Proposed review of the criteria for licensing of Overseas Based Collective Investment Schemes |
| 21/08/2006 | First Circular regarding the EU Capital Requirements Directive |
| 06/03/2006 | Revised Personal Questionnaire - Explanatory Note |
| 06/02/2006 | Notification of proposed changes to the Investments Services Guidelines |
| 11/01/2006 | Property Funds - Feedback Statement |
| 2005 |
| Date | Subject |
| 21/12/2005 | Circular in connection with Advertorials and investment advertisment |
| 15/12/2005 | Performance Fees - Feedback Statement |
| 15/12/2005 | Performance Fees - Circular |
| 30/11/2005 | Annotated presentation of regulated markets and national provisions implementing relevant requirements of ISD (93/22/EEC) |
| 30/09/2005 | Explanatory Note regarding - Prevention of Financial Markets Abuse (Disclosure and Notification) (Amendment) Regulations, 2005 (‘the Amendment Regulations’) and the MFSA Prevention of Financial Markets Abuse Guidance Notes (‘the Guidance Notes') |
| 01/08/2005 | Circular sent out to Category 1 to 4 licence holders and Locally based Retail Investment Schemes |
| 27/06/2005 | Circular in connection with Performance Fees payable to Retail Fund Managers or Advisers |
| 17/06/2005 | Circular to Category 1 to 4 Investment Services Licence Holders |
| 2004 |
| Date | Subject |
| 21/06/2004 | Non UCITS Schemes Marketed in Malta in Terms of SLC 5.32 of the Investment Services Guidelines |
| 21/05/2004 | Circular regarding UCITS actively promoted in Malta |
| 11/03/2004 | Circular to Investment Services Licence Holders |
| 2003 |
| Date | Subject |
| 29/10/2003 | Professional Indemnity Insurance for Investment Services Licence Holders |
| 23/10/2003 | MFSA - Publication Policy |
| 2002 |
| Date | Subject |