Legislation for stock exchange and other trading venues
EU regulation
Level 1
- MiFID II Directive (2014/65/EU)
- MiFIR regulation No 600/2014
- Market abuse regulation (EU) No 596/2014
- Regulation on short selling (EU) No 236/2012
- Council Regulation (EC) on Statute for a European company N:o 2157/2001
- Directive on admission of securities to official stock exchange listing and on information to be published on those securities 2001/34/EC
Level 2
- MiFID II Implementing and delegated acts
- MiFIR Implementing and delegated acts
- Overview and state of play of RTS and ITS
Level 3
- On trading transparency
- On commodity derivatives
- On reporting of MiFIR data
- On market structures
Guidelines - markets
- ESMA opinion on transparency calculations
- ESMA's guidelines on Calibration of circuit breakers and publication of trading halts under MiFID II julkistamisesta
- ESMA opinion on Transparency and position limit regimes for instruments traded on Non-EU trading venues
- ESMA opinion on clarification the concept of "traded on a trading venue"
- ESMA's guideline on transaction reporting, order record keeping and clock synchronisation under MiFID II
- ESMA's guidelines on the management body of market operators and data reporting services providers
- ESMA's guidelines on Systems and controls in an automated trading environment for trading platforms, investment firms and competent authorities
National regulation
Legislation and interpretations are only available in Finnish and in Swedish.