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Version status: In force | Document consolidation status: Updated to reflect all known changes
Version date: 26 November 2015 - onwards
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Regulation 33

(1) This Regulation applies to:

(a) an issuer:

(i) whose securities are admitted to trading on a regulated market; and

(ii) whose home Member State is the State;

(b) a person who has applied, without the issuer's consent, for the admission of its securities to trading on a regulated market; and

(c) securities that are admitted to trading only on a regulated market in the State which is the host Member State and not in the home Member State.

(2) An issuer referred to in paragraph (1) (a), a person referred to in paragraph (1) (b) ("other person") or an issuer of securities referred to in paragraph (1) (c) shall disclose regulated information in the manner specified in paragraphs (3) to (8).

(3) When disseminating regulated information an issuer or other person shall ensure that the minimum standards specified in paragraphs (4) to (8) are complied with.

(4) Regulated information shall be disseminated in a manner ensuring that it is capable of being disseminated to as wide a public as pos

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