| Date | Subject |
| 19/12/2018 | Circular 16/18 - ESEF Reporting Regime - Latest Updates |
| 27/11/2018 | Circular 15/18 – Amendments to Chapter 4 & Chapter 5 of the Listing Rules |
| 21/11/2018 | Circular 14/18 – European Single Electronic Format (ESEF) - Tutorial 1 |
| 20/11/2018 | Circular 13/18 - Feedback Statement - Fitness Check EU Framework |
| 08/11/2018 | Circular 12/18 - Dissemination and Storage of Regulated Information |
| 29/10/2018 | Circular 11/18 - Common Enforcement Priorities for the 2018 financial statements |
| 16/08/2018 | Circular 10/18 - Chapter 8 of the Listing Rules - Continuing Obligations of Open Ended Schemes |
| 26/07/2018 | Circular 09/18 - The new Prospectus Regulation (PR): Risk factors and Exemptions for Takeovers, Mergers and Divisions |
| 19/07/2018 | Circular 08/18 - European Single Electronic Format (ESEF) - Workplan and Implementation Status |
| 18/07/2018 | Circular 07/18 - ESMA Responds to EC Consultation on Fitness Check |
| 29/05/2018 | Circular 06/18 - Transparency Directive National Rules on Notifications of Major Holdings |
| 25/05/2018 | Circular 05/18 – Amendments to Chapter 11 of the Listing Rules on Takeover Bids |
| 02/05/2018 | Circular 04/18 - Enforcement of Financial Information - IAS 34: Interim Financial Reporting Extent of Aggregation |
| 24/04/2018 | Circular 03/18 - Amendments to Chapter 6 of the Listing Rules in order to clarify the applicability of publishing a Circular |
| 23/04/2018 | Circular 02/18 – 22nd Extract from the EECS’s Database of Enforcement |
| 20/04/2018 | Circular 01/18 – ESMA 2017 Annual Report Enforcement of IFRS
|
| 19/12/2017 | Circular 13/17 - European Single Electronic Format (ESEF) |
| 28/11/2017 | Circular 12/17 - Transposition of Directive 2013/50/EU |
| 02/11/2017 | Circular 11/17 - Circular - 21st Extract from the EECS’s Database of Enforcement |
| 02/11/2017 | Circular 10/17 - ESMA Updates its Q&A - Alternative Performance Measures Guidelines |
| 30/10/2017 | Circular 09/17 - Listed Issuers Must Focus on New IFRS Standards 2017 Annual Financial Reports
|
| 24/09/2017 | Circular 08/17 - ESMA updates its Questions and Answers Document (Q&A) on prospectus related issues
|
| 12/09/2017 | Circular 07/17 - ESMA Peer Review on Guidelines on Enforcement of Financial Information
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| 24/07/2017 | Circular 06/17 - ESMA Reviews the Application of IFRS 13 Fair Value Measurement Requirements
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| 24/07/2017 | Circular 05/17 - ESMA Publishes New Q & A on Alternative Performance Measures
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| 15/06/2017 | Circular 04/17 - Circular regarding the proper inclusion of hyperlinks in Company Announcements
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| 10/04/2017 | Circular 03/17 - Enforcement and Regulatory Activities of Accounting Enforcers 2016 Annual Report
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| 07/03/2017 | Circular 02/17 - Amendments to the Wholesale Securities Markets Listing Rules (formerly the EWSM Listing Rules)
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| 09/02/2017 | Circular 01/17 - Enforcement of Financial Information - Main Findings for 2015 Annual Financial Statements
|
| 23/12/2016 | Circular 06/16
Listing Rules for the European Wholesale Securities Market
|
| 01/12/2016 | Circular 05/16 – Transposition of Directive 2014/95/EU
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| 28/10/2016 | Circular 04/16 Applicability of EWSM Admissibility to Listing Fees
|
| 27/10/2016 | Circular 03/16 Clarifications to the Industry following the recent changes in the composition of the Audit Committee
|
| 11/07/2016 | Circular 02/16 Extension to the Consultation Document on Amendments to Listing Rules implementing the Audit Committee Requirements
|
| 11/04/2016 | Circular 01/16 Commission Delegated Regulation (EU) 2016/301
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| 14/01/2016 | Transparency Directive – Findings following examination of Annual Reports of local listed entities |
| 17/12/2015 | Circular 02/15 An Industry Update on ESMA Guidelines on Alternative Performance Measures
|
| 20/11/2015 | Circular 01/15 Amendments to the Listing Rules, the Financial Markets Act and the Companies Act following the transposition of Directive 2013/50/EU
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| 29/04/2014 | Circular 01/14 to all Company Secretaries of listed entities and Stockbroking Firms
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| 11/01/2013 | Circular 01/13 to all Company Secretaries of listed entities and Stockbroking Firms
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| 02/08/2012 | Circular 02/12 to all Company Secretaries of listed entities and Stockbroking Firms
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| 02/02/2012 | Circular 01/12 to all Company Secretaries of listed entities and Stockbroking Firms
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| 03/06/2011 | Circular 01/11 to all Company Secretaries of listed entities and Investment Services Licence Holders
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| 16/11/2010 | Circular 03/10 to all Company Secretaries of listed companies and Stockbroking Firms
|
| 07/07/2010 | Circular 02/10 to Listed Companies regarding Transparency through the Company’s web-site |
| 11/01/2010 | Circular 01/10 to all Company Secretaries and Stockbroking Firms |
| 06/10/2008 | Circular 02/08 to all Company Secretaries of listed entities
|
| 19/06/2008 | Circular 01/08 to all Company Secretaries and Stockbroking Firms
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| 20/02/2007 | Circular 01/07 to all Company Secretaries and Stockbroking Firms
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| 29/11/2005 | Circular 01/05 to all Company Secretaries and Stockbroking Firms
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| 15/12/2004 | Circular 05/04 to all Company Secretaries and Stockbroking Firms
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| 10/12/2004 | Circular 04/04 to all Company Secretaries and Compliance Officers
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| 17/11/2004 | Circular 03/04 to all Company Secretaries and Compliance Officers
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| 19/10/2004 | Circular 02/04 to all Company Secretaries and Compliance Officers |
| 23/08/2004 | Circular 01/04 to all Company Secretaries and Compliance Officers |