Investment Services Act (Cap. 370)
Investment Services Act (Cap. 370), article 17B
17B. The competent authority may refuse to act on a request for
cooperation in carrying out an investigation, onsite verificati on or
supervisory function under article 17A of this Act or to exchan ge
information with European regulatory authorities designated as
contact points under Article 44 of the AIFM Directive , or with
European regulatory authorities designated as contact points un der
Article 79(1) of the MIFID , or with European regulatory authorities
designated under Article 101(1) of the UCITS Directive for the
purpose of carrying out duties an d exercising powers thereunder only
where:
(a) such an investigation, on-s ite verification, supervisory
function or exchange of information might adversely
affect the sovereignty, security or public policy of
Malta;
(b) compliance with the request is likely to affect
adversely its own investigation, enforcement activities
or, where applicable, any criminal investigation;
(c) judicial proceedings have already been initiated in
r e s p e c t o f t h e s a m e a c t i o n s a n d a g a i n s t t h e s a m e
persons before the courts of Malta; or
(d) a final judgment has already been delivered in relation
to such persons for the same actions in Malta:
In the case of such a refusal, the competent authority shall
notify the European regulatory authority and ESMA accordingly,
providing as detailed information as possible for such refusal.
Inter-authority
consultation prior
to granting of a
licence.
Added by:
XX. 2007.71.
Amended by:
XXXI. 2017.58.
Text read from the consolidated PDF published by Legislation Malta. Tables, figures and marginal notes may be incomplete or out of place: the official PDF is authoritative. General information, not legal, tax or accounting advice.