ESMA LIBRARY
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Reset all filtersDate | Ref. | Title | Section | Type | Download | Info | Summary | Related Documents | Translated versions |
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04/10/2011 | 2011/323 | Final report- ESMA's technical advice on possible delegated acts concerning the Prospectus Directive as amended by the Directive 2010/73/EU | Prospectus, Corporate Disclosure | Technical Advice | PDF 797.56 KB |
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19/10/2011 | 2011/SMSG/3 | Summary of conclusions- meeting of the SMSG on 21 July 2011 | Securities and Markets Stakeholder Group | Reference | PDF 59.38 KB |
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01/12/2011 | 2011/SMSG/15 | Summary of conclusions- SMSG meeting on 11 October 2011 | Securities and Markets Stakeholder Group | Reference | PDF 80.45 KB |
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24/01/2012 | 2012/SMSG/1 | SMSG work programme for 2012 | Securities and Markets Stakeholder Group | Reference | PDF 58.17 KB |
This document sets out the work programme for 2012 which has been adopted by the Securities and Markets Stakeholder Group. It also sets out a preliminary work programme for 2013 which falls within the current Group’s mandate. | |||
01/03/2012 | 2012/137 | ESMA’s technical advice on possible delegated acts concerning the Prospectus Directive as amended by the Directive 2010/73/EU | Prospectus, Corporate Disclosure | Technical Advice | PDF 1.32 MB |
ESMA publishes today the second part of its final advice (ESMA/2012/137) on possible delegated acts for the Prospectus Directive (PD). The advice was submitted to the Commission on 29 February 2012. In its advice, ESMA proposes how to use a prospectus in a retail cascade and provides input on how to review the provisions of the Prospectus Regulation concerning tax information, indices, auditor’s report on profit forecasts and estimates and audited historical financial information. Today’s advice follows a public consultation started on 13 December 2011. Overall, the technical advice aims to achieve a high level of investor protection and to increase across Europe the legal clarity and efficiency of the prospectus regime. Investment prospectuses as such are aimed to provide investors with easily accessible information on financial products so as to foster in-formed decision-making. | |||
04/05/2012 | 2012/SMSG/20 | SMSG meeting on 15-16 February 2012 | Securities and Markets Stakeholder Group | Reference | PDF 131.17 KB |
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20/08/2012 | 2012/SMSG/31 | Summary of conclusions 26/04/12 | Securities and Markets Stakeholder Group | Reference | PDF 135.39 KB |
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13/11/2012 | 2012/SMSG/44 | Summary of conclusions SMSG meeting 28/06/12 | Securities and Markets Stakeholder Group | Reference | PDF 198.96 KB |
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12/12/2012 | 2012/SMSG/62 | Summary of conclusions of the SMSG meeting on 12-13 September 2013 | Securities and Markets Stakeholder Group | Reference | PDF 188.21 KB |
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20/12/2012 | 2012/SMSG/53 | SMSG Annual Activity Report 2011-2012 | Securities and Markets Stakeholder Group | Reference | PDF 334.64 KB |
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20/12/2012 | 2012/SMSG/54 | SMSG 2013 Work Programme | Securities and Markets Stakeholder Group | Reference | PDF 252.8 KB |
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09/01/2013 | 2012/864 | ESMA’s technical advice on possible delegated acts concerning the Prospectus Directive as amended by the Directive 2010/73/EU | Prospectus, Corporate Disclosure | Technical Advice | PDF 1.23 MB |
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10/01/2013 | 2013/8 | Call for expression of interest: Consultative Working Group for ESMA’s Corporate Reporting Standing Committee | Corporate Disclosure | Reference | PDF 84.57 KB |
Applications are welcome by 13.00 CET on 15 February 2013. |
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14/03/2013 | 2012/SMSG/72 | Summary of conclusions of the SMSG meeting on 23 November 2013 | Securities and Markets Stakeholder Group | Reference | PDF 146.34 KB |
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10/06/2013 | 2013/702 | Call for expressions of interest regarding ESMA’s Securities and Markets Stakeholder Group | Securities and Markets Stakeholder Group | Reference | PDF 228.48 KB |
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10/06/2013 | 2013/703 | ESMA Stakeholder Group Renewal Procedure 2013 | Securities and Markets Stakeholder Group | Reference | PDF 332.4 KB |
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11/06/2013 | 2013/SMSG/01 | Agenda 30-31 January 2013 | Securities and Markets Stakeholder Group | Reference | PDF 109.96 KB |
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11/06/2013 | 2013/SMSG/02 | Summary of conclusions of the SMSG meeting on 30-31 January 2013 | Securities and Markets Stakeholder Group | Reference | PDF 114.11 KB |
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30/08/2013 | 2013/SMSG/013 | SMSG contribution to the ESFS Consultation | Securities and Markets Stakeholder Group | Reference | PDF 409.94 KB |
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12/11/2013 | 2013/1643 | Cover Note- Public statement containing information on shareholder cooperation and acting in concert under the Takeover Bids Directive (ESMA/2013/1642) | Corporate Disclosure, Corporate Governance | Reference | PDF 145.01 KB |
In accordance with its mandate to take appropriate action in the context of takeover bids as per Article 1.3 of Regulation (EU) 1095/2010 (ESMA Regulation), ESMA is releasing a public statement on shareholder cooperation and acting in concert under the Takeover Bids Directive (Directive 2004/25/EC). This statement has been prepared following the review and report by the European Commission on the application of the Takeover Bids Directive and is based on information collected about the practices and application of that Directive. The statement has been prepared in order to help shareholders identify activities in relation to which they can cooperate (insofar as those activities are available to them under national company law), without that cooperation, in and of itself, leading to a conclusion that the shareholders are acting in concert and thus being at risk of having to make a mandatory bid under the Takeover Bids Directive. These activities are presented in the statement in the form of a “White List”. The statement has been prepared by the Takeover Bids Network, a permanent working group operating under the auspices of ESMA that promotes exchange of information on practices and application of the Takeover Bids Directive across the European Economic Area, thereby strengthening a common supervisory culture. The Takeover Bids Network is a specialist group composed of the national competent authorities appointed under the Takeover Bids Directive. The competent authorities represented on the ESMA Board of Supervisors are not in all cases appointed as competent authorities within the Takeover Bids Directive. The authorities not represented on the Board of Supervisors but competent within the area of takeovers are the Austrian Takeover Commission, the Irish Takeover Panel, the Oslo Stock Exchange of Norway, the Takeover Panel of Sweden and the Takeover Panel of the United Kingdom. These five authorities have contributed to the public statement and will have regard to it in the same manner as the other members of the Takeover Bids Network when assessing whether shareholders are acting in concert under their national takeover rules. |