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Issuers of securities

In order to ensure fair and transparent trading on the financial markets a number of rules of conduct apply to anyone who is active on those markets. The law also imposes specific requirements on operators of markets in financial instruments.

In this section you can find the most important information about the various requirements imposed as regards the offering of securities, public takeover bids and the rules of conduct that apply to anyone active on the financial markets, such as the rules to prevent market abuse and the obligatory reporting of capital interests in securities-issuing institutions.