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Published 2024-12-10 - Companies offering financial services in Sweden are required to apply for a licence issued by FI in order to operate a business.
Published 2025-02-18 - FI supervises the firms that received authorisation from FI to conduct business on the financial market.
Published 2025-04-23 - Finansinspektionen (FI) is the competent authority under the BMR. This means that FI assesses the applications, registrations and notifications that can or…
Published 2024-12-10 - Rules regarding authorisation for stock exchanges are set out in chapter 12 of the Securities Market Act (2007:528). Chapter 13 of the same act contains…
Securties Market Act (2007:528) – in Swedish
Finansinspektionen’s Regulations governing operations on trading venues (FFFS 2007:17)
Published 2025-01-03 - In Sweden and abroad, there are many more entities which are, in some way, concerned with or work with combating money laundering and terrorist financing.…
Published 2025-01-03 - Firms must report information annually in FI's system for periodic reporting.
Published 2025-01-13 - A prospectus must be prepared when transferable securities (for example, shares, bonds or derivative instruments) are offered to the general public or…
Published 2025-01-15 - This is where you can find information about the requirements placed on people who trade in securities, in other words conduct transactions in issuers.
Published 2025-03-26 - Persons discharging managerial responsibilities within an issuer or an emission allowance market participant shall report transactions they have made in…
Published 2025-01-15 - Persons discharging managerial responsibilities within an issuer may not conduct transactions in financial instruments issued by the issuer – or related…
Published 2025-01-15 - Major shareholders are obliged to submit major shareholding notifications concerning changes to their holdings in companies whose shares are admitted to…
Published 2025-01-15 - Short selling involves the sale of a security that the seller does not own at the time the sale takes place. Instead, the seller has borrowed, or ensured that…
Published 2025-01-15 - These regulations apply to persons who produce or disseminate investment recommendations or other information recommending or suggesting a certain investment…
Published 2025-01-15 - We have compiled information here about the various requirements that are placed on issuers.
Published 2025-01-15 - An issuer shall draw up a list of all persons discharging managerial responsibilities and persons closely associated with them. The same obligation applies to…
Published 2025-01-15 - An issuer on a regulated market (stock exchange – e.g. Nasdaq Stockholm and NGM Main Regulated) or a multilateral trading facility (MTF) (e.g. Spotlight Stock…
Published 2025-01-15 - Issuers on a regulated market or a multilateral trading facility (MTF) shall continually maintain a list of persons who have access to inside information.…
Published 2025-01-15 - The purpose of the rules concerning home member state is to specify a competent authority for supervision under the regulations in the Transparency Directive.…
Published 2025-01-15 - Companies listed on a regulated market within the EEA that have Sweden as their home member state shall disclose and report financial reports to FI in…
Published 2025-01-15 - An issuer whose shares are admitted to trading on a regulated market is obliged to disclose changes in the issuers total number of shares or voting rights.
Published 2025-01-15 - An issuer whose shares are admitted to trading on a regulated market and that acquires or disposes its own shares is obliged to disclose information about…
Published 2025-01-27 - Companies offering financial services in Sweden are required to apply for a licence issued by FI in order to operate a business.
Published 2025-04-14 - Finansinspektionen is the competent authority according to Regulation (EU) No 648/2012 on OTC derivatives, central counterparties and trade repositories…
Published 2025-01-03 - Providing data reporting services as APA providers, ARM providers or CTP providers requires authorisation in accordance with the regulation on markets in…
Published 2024-11-29 - Provisions on what information is to be included are included in for example 2 a kap. LHF.
Published 2024-12-19 - The Alternative Investment Fund Managers Act (2013:561 – LAIF) regulates alternative investment fund managers (AIF managers) but only regulates alternative…
Commission Delegated Regulation (EU) No 231/2013 (Eurlex)
Guidelines Guidelines on sound remuneration policies under the AIFMD (Esma)
Guidelines Guidelines on key concepts of the AIFMD (Esma)
Published 2024-12-10 - Companies offering financial services in Sweden are required to apply for a licence issued by FI in order to operate a business.
Published 2025-02-18 - FI supervises the firms that received authorisation from FI to conduct business on the financial market.
Published 2025-01-16 -
Published 2025-04-23 - Finansinspektionen (FI) is the competent authority under the BMR. This means that FI assesses the applications, registrations and notifications that can or…
Published 2024-12-10 - Rules regarding authorisation for stock exchanges are set out in chapter 12 of the Securities Market Act (2007:528). Chapter 13 of the same act contains…
Securties Market Act (2007:528) – in Swedish
Finansinspektionen’s Regulations governing operations on trading venues (FFFS 2007:17)
Published 2025-01-03 - In Sweden and abroad, there are many more entities which are, in some way, concerned with or work with combating money laundering and terrorist financing.…
Published 2025-01-03 - Firms must report information annually in FI's system for periodic reporting.
Published 2025-01-13 - A prospectus must be prepared when transferable securities (for example, shares, bonds or derivative instruments) are offered to the general public or…
Published 2025-03-14 - About the EMIR College
Published 2025-04-28 - Exemption
Published 2025-01-15 - This is where you can find information about the requirements placed on people who trade in securities, in other words conduct transactions in issuers.
Published 2025-03-26 - Persons discharging managerial responsibilities within an issuer or an emission allowance market participant shall report transactions they have made in…
Published 2025-01-15 - Persons discharging managerial responsibilities within an issuer may not conduct transactions in financial instruments issued by the issuer – or related…
Published 2025-01-15 - Major shareholders are obliged to submit major shareholding notifications concerning changes to their holdings in companies whose shares are admitted to…
Published 2025-01-15 - Short selling involves the sale of a security that the seller does not own at the time the sale takes place. Instead, the seller has borrowed, or ensured that…
Published 2025-01-15 - These regulations apply to persons who produce or disseminate investment recommendations or other information recommending or suggesting a certain investment…
Published 2025-01-15 - We have compiled information here about the various requirements that are placed on issuers.
Published 2025-01-15 - An issuer shall draw up a list of all persons discharging managerial responsibilities and persons closely associated with them. The same obligation applies to…
Published 2025-01-15 - An issuer on a regulated market (stock exchange – e.g. Nasdaq Stockholm and NGM Main Regulated) or a multilateral trading facility (MTF) (e.g. Spotlight Stock…
Published 2025-01-15 - Issuers on a regulated market or a multilateral trading facility (MTF) shall continually maintain a list of persons who have access to inside information.…
Published 2025-01-15 - The purpose of the rules concerning home member state is to specify a competent authority for supervision under the regulations in the Transparency Directive.…
Published 2025-01-15 - Companies listed on a regulated market within the EEA that have Sweden as their home member state shall disclose and report financial reports to FI in…
Published 2025-01-15 - An issuer whose shares are admitted to trading on a regulated market is obliged to disclose changes in the issuers total number of shares or voting rights.
Published 2025-01-15 - An issuer whose shares are admitted to trading on a regulated market and that acquires or disposes its own shares is obliged to disclose information about…
Published 2025-01-27 - Companies offering financial services in Sweden are required to apply for a licence issued by FI in order to operate a business.
Published 2025-04-14 - Finansinspektionen is the competent authority according to Regulation (EU) No 648/2012 on OTC derivatives, central counterparties and trade repositories…
Published 2025-01-03 - Providing data reporting services as APA providers, ARM providers or CTP providers requires authorisation in accordance with the regulation on markets in…
Published 2024-11-29 - Provisions on what information is to be included are included in for example 2 a kap. LHF.
Published 2024-12-19 - The Alternative Investment Fund Managers Act (2013:561 – LAIF) regulates alternative investment fund managers (AIF managers) but only regulates alternative…
Commission Delegated Regulation (EU) No 231/2013 (Eurlex)
Guidelines Guidelines on sound remuneration policies under the AIFMD (Esma)
Guidelines Guidelines on key concepts of the AIFMD (Esma)