2026-01-29
The Superintendency of the Market and Securities issued Circular No. 046-2026-SMV/11.1 on January 29, 2026, to regulate the preparation of reports by bondholders' representatives regarding compliance with issuance or sale conditions. This directive mandates that representatives prepare specific compliance reports for the period of February 2026. The document establishes the procedural requirements for these representatives to ensure adherence to the terms of the financial instruments.