Sarah Hitchins - Litigation & Investigations, Partner - Profile
Claire Coppel - Corporate, Partner - Profile
Hannah Brown - Corporate, Senior Associate - Profile
Tom Marsh - Litigation & Investigations, Associate - Profile
Synopsis: This July marks the fifth anniversary of the Market Abuse Regulation (MAR) coming into force. The last five years have seen no shortage of activity relating to MAR for listed issuers, ranging from significant developments in market practice to enforcement action taken by the UK Financial Conduct Authority (FCA) and, most recently, the on-shoring of MAR into UK law following the expiry of the Brexit transition period. This webinar will explore some of the key areas of market practice for listed issuers and regulatory scrutiny that have emerged over the last five years during which MAR has been in force and provide practical guidance and 'lessons learned' for listed issuers in these areas. It will also explore potential future themes for listed issuers in this area, including ESG related disclosures and potential future areas of supervisory and enforcement focus for the FCA. This webinar will be of interest to individuals who work at listed issuers with responsibility for matters relating to investor relations, market announcement obligations, personal dealing notifications and other areas of MAR compliance.
This seminar qualifies for 1 CPD point/s
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