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Financial Services and Markets Authority
Financial Services and Markets Authority
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2026-06-15
Impact of Frontier AI Systems on Cyber Risk
2026-04-28
FSMA Decision on Supplementary Deferral of Publication for Medium-Sized Belgian Sovereign Bond Transactions
2026-01-29
Procedures for notifying white papers and other documents relating to an offer to the public or an admission to trading of crypto-assets other than asset-referenced tokens or electronic money tokens
2026-01-16
FSMA Guidance on EMIR
2025-12-15
FSMA Letter to Foreign Insurers Regarding 2025 Security Fund Contributions
2025-12-11
Law of 11 December 2025 implementing Regulation (EU) 2023/1114 on markets in crypto-assets and amending various financial regulations
2025-11-17
FSMA Message to Investors: Certain Funds with Minimum Investment of €100,000 Are Not Subject to FSMA Supervision
2025-09-15
Guidance on the DLT Pilot Regime Regulation
2024-03-22
Questionnaires for regulated functions at IORPs
2023-10-03
Study on the costs of structured debt instruments
2023-03-29
Classification of fractional investments as investment instruments
2023-03-29
Notification procedure for UCITS from other EEA Member States marketing in Belgium
2023-03-20
Guide to Prior Notification of Virtual Currency Advertisements in Mass Media Campaigns
2023-03-17
FSMA Regulation on Restrictive Conditions for Virtual Currency Distribution to Consumers
2023-02-01
Risks associated with issues of convertible bonds and equivalent equity lines by listed companies in need of financing
2022-04-12
Commission Delegated Regulation (EU) 2022/1455 supplementing Regulation (EU) 2019/2033 on regulatory technical standards for own funds requirement for investment firms based on fixed overheads
2022-01-25
National marketing requirements for UCITS and AIFs
2021-12-22
FSMA FAQs on European Single Electronic Format (ESEF) reporting and eCorporate
2021-06-17
FSMA Feedback Statement on PRIIPs KID Quality Examination
2021-04-01
FSMA FAQs on Advertisements for Investment Instruments Offered to the Public, Admitted to Trading, and Distributed to Retail Clients
2019-07-09
Communication on the procedures for the submission and processing of dossiers relating to public offers
2019-06-17
EMIR Refit: Intragroup Reporting Exemption
2019-02-21
Provision of investment services and performance of investment activity in Belgium by UK companies after Brexit
2019-02-21
Provision of Investment Services in Belgium on a Cross-Border Basis by Foreign Investment Firms
2018-07-20
Procedures for filing the information note
2018-06-19
Cross-Border Provision of Investment Services by Belgian Portfolio Management and Investment Advice Companies
2017-12-29
Notification of Key Information Documents for PRIIPs to the FSMA via the FinPro application
2017-11-13
FSMA Communication on Initial Coin Offerings (ICOs)
2017-10-11
FSMA-FEBELFIN-FEB Communication: LEI as a Condition for Financial Transactions
2017-09-29
Communication on prudential assessment of qualifying holdings in financial institutions
2017-02-24
Marketing AIFs in Belgium without a passport to professional investors
2017-01-31
FSMA Position on Application of Belgian Unfair Contract Terms Rules to Investment Instruments
2016-09-15
FSMA Communication on Reporting for Unit-Linked Insurance Products
2016-05-26
FSMA Regulation governing the distribution of certain derivative financial instruments to consumers
2016-05-18
Market Abuse Regulation – Practical Instructions
2015-12-04
Guidelines on alternative performance measures: implementation by the FSMA
2015-10-27
Rules for Advertisements Marketing Financial Products to Retail Clients
2015-06-26
Assessment of the ESES CSDs/SSSs against the CPMI-IOSCO Principles for FMIs
2015-06-11
Royal Decree of 11 June 2015 designating the competent authority for central securities depositories
2014-11-13
FSMA Communication on Distributing Alternative Investments in Movable or Immovable Goods
2014-09-02
Reporting obligations of alternative investment fund managers to the FSMA
2014-04-25
Royal Decree on Information Obligations for Marketing Financial Products to Retail Clients
2014-04-03
Regulation on the ban on the distribution of certain financial products to retail clients
2013-08-29
FSMA Circular on eCorporate Document Transmission
2013-07-17
Communication of the NBB and FSMA on EMIR Obligations for Supervised Institutions
2013-05-28
FSMA Circular on Practical Implementation of the European Short Selling Regulation and ESMA Guidelines
2012-01-11
Obligations of Issuers on Regulated Markets
2010-12-20
Public offers of corporate bonds good practices
2010-12-20
Public offers and admission to trading of bonds on a regulated market and establishment of an accelerated procedure for approving prospectuses
2009-11-18
Circular CBFA_2009_32 on reporting obligations for qualifying holdings in financial institutions
2009-04-07
Financial services via the Internet: Prudential requirements
2008-08-26
Rules of management and operation for institutions for occupational retirement provision
2008-02-14
Royal Decree of 14 February 2008 on disclosure of major shareholdings
2007-11-14
Royal Decree of 14 November 2007 on the Obligations of Issuers of Financial Instruments Admitted to Trading on a Regulated Market
2007-05-02
Law of 2 May 2007 on disclosure of major holdings in issuers whose shares are admitted to trading on a regulated market
2007-04-27
Royal Decree on Takeover Bids
2007-04-01
Law of 1 April 2007 on Takeover Bids
2007-03-30
CBFA Prudential Expectations on Financial Institutions' Sound Governance
2007-01-12
Royal Decree of 12 January 2007 on the prudential supervision of institutions for occupational retirement provision
2006-10-27
Law of 27 October 2006 on the supervision of institutions for occupational retirement provision
2006-05-31
Memorandum on the registration procedure for a bureau de change governed by Belgian law
2002-08-02
Law of 2 August 2002 on the supervision of the financial sector and on financial services
2002-08-02
Article 10 of the Law of 2 August 2002 on the Supervision of the Financial Sector and on Financial Services