The Markets in Financial Instruments Directive (MiFID) was implemented in Cyprus in November 2007 and it transposed the European Markets in Financial Instruments Directive into the Cypriot Legislation. The main objectives of the Law L.144 (I)/2007 (the 'Law') is the protection of the clients through the provision of detailed information regarding the Investment Services and the organization of Firms providing these services, as well as, the provision of Investment Services in a transparent way in European Money Markets.
To view detailed information on the current and upcoming Legislation please click here.
Disclosures in accordance with the Cyprus Securities and Exchange Commission Directives DI144-2014-14 and DI144-2014-15 for the prudential supervision of Investment Firms and their Capital Requirements. Please find below the disclosures:
Risk Management Disclosures 2011
Risk Management Disclosures 2012
Risk Management Disclosures 2013
Risk Management Disclosures 2014
Risk Management Disclosures 2015
Risk Management Disclosures 2016
Risk Management Disclosures 2017