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CySEC General Circulars Listing

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Detected March 24th, 2026
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Summary

The Cyprus Securities and Exchange Commission (CySEC) provides a listing of its general circulars. This notice serves as an index to publicly available regulatory information and guidance issued by CySEC.

What changed

This document is a listing of general circulars issued by the Cyprus Securities and Exchange Commission (CySEC). It serves as an index to publicly available regulatory information and guidance, rather than introducing new rules or enforcement actions.

Compliance officers should note that this page is a navigational tool. Specific circulars may contain important updates, requirements, or guidance relevant to regulated entities. It is advisable to periodically review the listed circulars for any changes or new directives that may impact operations.

What to do next

  1. Review the CySEC General Circulars listing for relevant updates.
  2. Consult specific circulars for detailed requirements and guidance.

Source document (simplified)

Cyprus Securities and Exchange Commission | General Circulars of CySEC General Circulars of CySEC
| | |

| | The Commission |

| | Public Information |

| | | Certifications and Seminars |

| | | Board Decisions |

| | | Announcements |

| | | Policy Statements |

| | | Circulars |

| | | | Regulated Entities |

| | | | Circulars Issuers |

| | | | Certifications Circulars |

| | | | General Circulars of CySEC |

| | | Practical Guides |

| | | Consultation Papers |

| | | Court Decisions |

| | | Statistical Publications |

| | | Administrative Sanctions |

| | | Information Disclosure Plan |

| | | Seminars & Lectures |

| | | Digital Signature/Submission |

| | Regulated Entities |

| | Regulatory Framework |

| | Investor Protection |

| | Registries & Portals |

General Circulars of CySEC

Public Information / Circulars / General Circulars of CySEC
| The Commission |
| Public Information |
| Certifications and Seminars |
| Board Decisions |
| Announcements |
| Policy Statements |
| Circulars |
| Regulated Entities |
| Circulars Issuers |
| Certifications Circulars |
| General Circulars of CySEC |
| Practical Guides |
| Consultation Papers |
| Court Decisions |
| Statistical Publications |
| Administrative Sanctions |
| Information Disclosure Plan |
| Seminars & Lectures |
| Digital Signature/Submission |
| Regulated Entities |
| Regulatory Framework |
| Investor Protection |
| Registries & Portals |

| 28 Jan. 2026 | |
C753 to CySEC’s supervised/registered entities: Questionnaire regarding the benefits arising in the Cypriot Economy – CySEC supervised entities
| 02 Feb. 2023 | |
C549 - Deprioritisation of supervisory actions on the obligation to publish RTS 27 reports after 28
| 12 Jan. 2023 | |
C545 - Publication of CySEC’s reviews of compliance with the reporting obligation in accordance with article 9 of Regulation (EU) No 648/2012 on OTC Derivatives, Central Counterparties and Trade Repositories, as amended (‘EMIR’)
| 17 May. 2022 | |
C512 - Reporting of cyber-attack incidents
| 26 Jan. 2022 | |
C484 - Registration of RAIFs with the CySEC RAIF Register
| 09 Jul. 2021 | |
C457 - ESMA Guidelines on Outsourcing to Cloud Services Providers
| 06 Nov. 2020 | |
C414 - Recommendation 2020/6 of the European Systemic Risk Board (ESRB) on liquidity risks arising
| 01 Feb. 2017 | |
C182 - MAR Guidelines on Information relating to commodity derivatives markets or related spot markets for the purpose of the definition of inside information on commodity derivatives Investors, financial intermediaries, operators of trading venues and persons professionally arranging and executing transactions in commodity derivatives (together, "market participants"). (Αrticle 7(5) of Regulation (EU) No 596/2014)

| 03 Jan. 2017 | |
C177 - Procedures for the receipt and follow-up of reports of infringement of Regulation (EU) No 596/2014 on market abuse Persons wishing to report cases of actual or potential infringement of Regulation (EU) No 596/2014 on market abuse– Whistle-blowers

| 22 Oct. 2014 | |
ΕΓ131-2014-30 to AIF regarding compliance of International Collective Investment Schemes with the Alternative Investment Fund Managers Law of 2014 (In Greek)
| | |
Circular (M2006-01) To CSE Members regarding order input with wrong OASIS code

| | |
Circular (G2005-01) To Journalists regarding Market Abuse Directive

| | |
Circular (G2006-01) To Cypriot Investment Firms and Issuers which have discretionary accounts

| | |
Circular (G2006-02) To Investment Firms and Issuers regarding the due deligence

| | |
Circular (G2006-03) Regarding adoption of CESR’s recommendations for the consistent implementation of the European Commission’s Regulation on Prospectuses (in Greek)

| | |
Circular (Γ2012-01) to issuers regarding Alternative Investment Fund Management (in Greek) Regarding Alternative Investment Fund Management

| | |
Circular (Γ2012-01Α) to issuers regarding Alternative Investment Fund Management - in Greek (continuity from Circular Γ2012-01) Regarding Alternative Investment Fund Management (continuity from Circular Γ2012-01)

| | |
Circular (G2013-01) regarding the Continuous Professional Training of the persons registered in the public register Regarding the Continuous Professional Training of the persons registered in the public register

| | |
Circular (CI56-2013-01) regarding registration of AIFMs which do not exceed the thresholds of section 4(2) of the Alternative Investment Fund Managers Law of 2013 [L. 56(I)/2013]” Regarding registration of AIFMs which do not exceed the thresholds of section 4(2) of the Alternative Investment Fund Managers Law of 2013 [L. 56(I)/2013]”

| | |
Circular (G2013-02) regarding the organization of CPD seminars by CySEC Seminars organized by the CySEC regarding the Continuous Professional Development (CPD) of the persons registered in the public register

| | |
Circular (G2014-02) regarding the organization of CPD seminars by CySEC Regarding the organization of CPD seminars by CySEC

| | |
Circular (CI144-2014-05) to supervised entities regardinmg the development of a Risk Based Supervision Framework Development of a Risk Based Supervision Framework and request of data from CIFs

| | |
Circular (CI56-2014-20) regarding registration of AIFMs which do not exceed the thresholds of section 4(2) of the Alternative Investment Fund Managers Law of 2013 [L. 56(I)/2013] – REMINDER Regarding registration of AIFMs which do not exceed the thresholds of section 4(2) of the Alternative Investment Fund Managers Law of 2013 [L.56(I)/2013] – REMINDER

Named provisions

General Circulars

Source

Analysis generated by AI. Source diff and links are from the original.

Classification

Agency
CySEC
Instrument
Notice
Legal weight
Non-binding
Stage
Final
Change scope
Minor

Who this affects

Geographic scope
CY CY

Taxonomy

Primary area
Financial Services
Operational domain
Compliance
Topics
Regulatory Filings Public Information

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