WORKING GROUP 3
ASSET MANAGEMENT AND SECURITIES TRADING

Co-leaders

Laurent Bouvard
Eric Bühler


This group mainly deals with the following topics:

  • Definition of rules of conduct and practices applicable in Switzerland and abroad in the field of :
  • Insider trading, price manipulation, dissemination of false information, etc.
  • Supervision of stock exchange operations;
  • Monitoring of private, institutional and collective management
  • Investment funds (Code of Conduct of the Swiss Funds Association);
  • Requests for judicial and administrative assistance.
  • Summary of the means to be implemented within the financial intermediaries to cover the said rules and practices;
  • Code of Conduct or Code of Ethics;
  • Staff operations;
  • Conflicts of interest;
  • Design of best practices.

WG 3 meets every last Tuesday of the month from 16:30 to 18:30

This site uses cookies

Cookies help us know you better and improve your navigation experience. By continuing to browse on this website, you are agreeing to the use of cookies and our Privacy Note.