Investment services providers are under increasing scrutiny as regulatory expectations around market abuse continue to intensify. In light of the MFSA’s recent Dear CEO letter, which highlights key findings from its supervisory inspections, this webinar will provide a timely and practical overview of firms’ obligations under the Market Abuse Regulation (MAR).
Join us for a free webinar where we will discuss:
- The core obligations of investment firms under MAR, including effective surveillance, reporting, and internal controls
- Common weaknesses identified by the MFSA during recent inspections
- Implications of the Dear CEO letter and what it signals about future supervisory focus
The webinar is essential for compliance officers, legal advisors, senior management, and anyone involved in ensuring MAR compliance within their organization. Attendees will come away with a clearer understanding of the MFSA’s expectations and how to proactively mitigate market abuse risks in a rapidly evolving regulatory environment.