Commission Delegated Regulation (EU) 2017/565 of 25 April 2016 supplementing Dire... (32017R0565) 
                
                
            INHALT
Commission Delegated Regulation (EU) 2017/565 of 25 April 2016 supplementing Directive 2014/65/EU of the European Parliament and of the Council as regards organisational requirements and operating conditions for investment firms and defined terms for the purposes of that Directive (Text with EEA relevance. )
- COMMISSION DELEGATED REGULATION (EU) 2017/565
 - of 25 April 2016
 - supplementing Directive 2014/65/EU of the European Parliament and of the Council as regards organisational requirements and operating conditions for investment firms and defined terms for the purposes of that Directive
 - (Text with EEA relevance)
 - CHAPTER I
 - Article 1
 - Subject-matter and scope
 - Article 2
 - Definitions
 - Article 3
 - Conditions applying to the provision of information
 - Article 4
 - Provision of investment service in an incidental manner
 - (Article 2(1) of Directive 2014/65/EU)
 - Article 5
 - Wholesale energy products that must be physically settled
 - (Article 4(1)(2) of Directive 2014/65/EU)
 - Article 6
 - Energy derivative contracts relating to oil and coal and wholesale energy products
 - (Article 4(1)(2) of Directive 2014/65/EU)
 - Article 7
 - Other derivative financial instruments
 - (Article 4(1)(2) of Directive 2014/65/EU)
 - Article 8
 - Derivatives under Section C(10) of Annex I to Directive 2014/65/EU
 - (Article 4(1)(2) of Directive 2014/65/EU)
 - Article 9
 - Investment advice
 - (Article 4(1)(4) of Directive 2014/65/EU)
 - Article 10
 - Characteristics of other derivative contracts relating to currencies
 - Article 11
 - Money-market instruments
 - (Article 4(1)(17) of Directive 2014/65/EU)
 - Article 12
 - Systematic internalisers for shares, depositary receipts, ETFs, certificates and other similar financial instruments
 - (Article 4(1)(20) of Directive 2014/65/EU)
 - Article 13
 - Systematic internalisers for bonds
 - (Article 4(1)(20) of Directive 2014/65/EU)
 - Article 14
 - Systematic internalisers for structured finance products
 - (Article 4(1)(20) of Directive 2014/65/EU)
 - Article 15
 - Systematic internalisers for derivatives
 - (Article 4(1)(20) of Directive 2014/65/EU)
 - Article 16
 - Systematic internalisers for emission allowances
 - (Article 4(1)(20) of Directive 2014/65/EU)
 - Article 17
 - Relevant assessment periods
 - (Article 4(1)(20) of Directive 2014/65/EU)
 - Article 18
 - Algorithmic trading
 - (Article 4(1)(39) of Directive 2014/65/EU)
 - Article 19
 - High frequency algorithmic trading technique
 - (Article 4(1)(40) of Directive 2014/65/EU)
 - Article 20
 - Direct electronic access
 - (Article 4(1)(41) of Directive 2014/65/EU)
 - CHAPTER II
 - Article 21
 - General organisational requirements
 - (Article 16(2) to (10) of Directive 2014/65/EU)
 - Article 22
 - Compliance
 - (Article 16(2) of Directive 2014/65/EU)
 - Article 23
 - Risk management
 - (Article 16(5) of Directive 2014/65/EU)
 - Article 24
 - Internal audit
 - (Article 16(5) of Directive 2014/65/EU)
 - Article 25
 - Responsibility of senior management
 - (Article 16(2) of Directive 2014/65/EU)
 - Article 26
 - Complaints handling
 - (Article 16(2) of Directive 2014/65/EU)
 - Article 27
 - Remuneration policies and practices
 - (Articles 16, 23 and 24 of Directive 2014/65/EU)
 - Article 28
 - Scope of personal transactions
 - (Article 16(2) of Directive 2014/65/EU)
 - Article 29
 - Personal transactions
 - (Article 16(2) of Directive 2014/65/EU)
 - Article 30
 - Scope of critical and important operational functions
 - (Article 16(2) and first subparagraph of Article 16(5) of Directive 2014/65/EU)
 - Article 31
 - Outsourcing critical or important operational functions
 - (Article 16(2) and of Article 16(5) first subparagraph of Directive 2014/65/EU)
 - Article 32
 - Service providers located in third countries
 - (Article 16(2) and first subparagraph of Article 16(5) of Directive 2014/65/EU)
 - Article 33
 - Conflicts of interest potentially detrimental to a client
 - (Articles 16(3) and 23 of Directive 2014/65/EU)
 - Article 34
 - Conflicts of interest policy
 - (Articles 16(3) and 23 of Directive 2014/65/EU)
 - Article 35
 - Record of services or activities giving rise to detrimental conflict of interest
 - (Article 16(6) of Directive 2014/65/EU)
 - Article 36
 - Investment research and marketing communications
 - (Article 24(3) of Directive 2014/65/EU)
 - Article 37
 - Additional organisational requirements in relation to investment research or marketing communications
 - (Article 16(3) of Directive 2014/65/EU)
 - Article 38
 - Additional general requirements in relation to underwriting or placing
 - (Articles 16(3), 23 and 24 of Directive 2014/65/EU)
 - Article 39
 - Additional requirements in relation to pricing of offerings in relation to issuance of financial instruments
 - (Articles 16(3), 23 and 24 of Directive 2014/65/EU)
 - Article 40
 - Additional requirements in relation to placing
 - (Articles 16(3), 23 and 24 of Directive 2014/65/EU)
 - Article 41
 - Additional requirements in relation to advice, distribution and self-placement
 - (Articles 16(3), 23 and 24 of Directive 2014/65/EU)
 - Article 42
 - Additional requirements in relation to lending or provision of credit in the context of underwriting or placement
 - (Articles 16(3), 23 and 24 of Directive 2014/65/EU)
 - Article 43
 - Record keeping in relation to underwriting or placing
 - (Articles 16(3), 23 and 24 of Directive 2014/65/EU)
 - CHAPTER III
 - Article 44
 - Fair, clear and not misleading information requirements
 - (Article 24(3) of Directive 2014/65/EU)
 - Article 45
 - Information concerning client categorisation
 - (Article 24(4) of Directive 2014/65/EU)
 - Article 46
 - General requirements for information to clients
 - (Article 24(4) of Directive 2014/65/EU)
 - Article 47
 - Information about the investment firm and its services for clients and potential clients
 - (Article 24(4) of Directive 2014/65/EU)
 - Article 48
 - Information about financial instruments
 - (Article 24(4) of Directive 2014/65/EU)
 - Article 49
 - Information concerning safeguarding of client financial instruments or client funds
 - (Article 24(4) of Directive 2014/65/EU)
 - Article 50
 - Information on costs and associated charges
 - (Article 24(4) of Directive 2014/65/EU)
 - Article 51
 - Information provided in accordance with Directive 2009/65/EU and Regulation (EU) No 1286/2014
 - (Article 24(4) of Directive 2014/65/EU)
 - Article 52
 - Information about investment advice
 - (Article 24(4) of Directive 2014/65/EU)
 - Article 53
 - Investment advice on an independent basis
 - (Article 24(4) and 24(7) of Directive 2014/65/EU)
 - Article 54
 - Assessment of suitability and suitability reports
 - (Article 25(2) of Directive 2014/65/EU)
 - Article 55
 - Provisions common to the assessment of suitability or appropriateness
 - (Article 25(2) and 25(3) of Directive 2014/65/EU)
 - Article 56
 - Assessment of appropriateness and related record-keeping obligations
 - (Article 25(3) and 25(5) of Directive 2014/65/EU)
 - Article 57
 - Provision of services in non-complex instruments
 - (Article 25(4) of Directive 2014/65/EU)
 - Article 58
 - Retail and Professional Client agreements
 - (Article 24(1) and 25(5) of Directive 2014/65/EU)
 - Article 59
 - Reporting obligations in respect of execution of orders other than for portfolio management
 - (Article 25(6) of Directive 2014/65/EU)
 - Article 60
 - Reporting obligations in respect of portfolio management
 - (Article 25(6) of Directive 2014/65/EU)
 - Article 61
 - Reporting obligations in respect of eligible counterparties
 - (Article 24(4) and Article 25(6) of Directive 2014/65/EU)
 - Article 62
 - Additional reporting obligations for portfolio management or contingent liability transactions
 - (Article 25(6) of Directive 2014/65/EU)
 - Article 63
 - Statements of client financial instruments or client funds
 - (Article 25(6) of Directive 2014/65/EU)
 - Article 64
 - Best execution criteria
 - (Articles 27(1) and 24(1) of Directive 2014/65/EU)
 - Article 65
 - Duty of investment firms carrying out portfolio management and reception and transmission of orders to act in the best interests of the client
 - (Article 24(1) and 24(4) of Directive 2014/65/EU)
 - Article 66
 - Execution policy
 - (Article 27(5) and (7) of Directive 2014/65/EU)
 - Article 67
 - General principles
 - (Articles 28(1) and 24(1) of Directive 2014/65/EU)
 - Article 68
 - Aggregation and allocation of orders
 - (Articles 28(1) and 24(1) of Directive 2014/65/EU)
 - Article 69
 - Aggregation and allocation of transactions for own account
 - (Articles 28(1) and 24(1) of Directive 2014/65/EU)
 - Article 70
 - Prompt fair and expeditious execution of client orders and publication of unexecuted client limit orders for shares traded on a trading venue
 - (Article 28 of Directive 2014/65/EU)
 - Article 71
 - Eligible counterparties
 - (Article 30 of Directive 2014/65/EU)
 - Article 72
 - Retention of records
 - (Article 16(6) of Directive 2014/65/EU)
 - Article 73
 - Record keeping of rights and obligations of the investment firm and the client
 - (Article 25(5) of Directive 2014/65/EU)
 - Article 74
 - Record keeping of client orders and decision to deal
 - (Article 16(6) of Directive 2014/65/EU)
 - Article 75
 - Record keeping of transactions and order processing
 - (Article 16(6) of Directive 2014/65/EU)
 - Article 76
 - Recording of telephone conversations or electronic communications
 - (Article 16(7) of Directive 2014/65/EU)
 - Article 77
 - Qualification as an SME
 - (Article 4(1)(13) of Directive 2014/65/EU)
 - Article 78
 - Registration as an SME growth market
 - (Article 33(3) of Directive 2014/65/EU)
 - Article 79
 - Deregistration as an SME growth market
 - (Article 33(3) of Directive 2014/65/EU)
 - CHAPTER IV
 - Article 80
 - Circumstances constituting significant damage to investors' interests and the orderly functioning of the market
 - (Articles 32(1), 32(2), 52(1) and 52(2) of Directive 2014/65/EU)
 - Article 81
 - Circumstances where significant infringements of the rules of a trading venue or disorderly trading conditions or system disruptions in relation to a financial instrument may be assumed
 - (Articles 31(2) and 54(2) of Directive 2014/65/EU)
 - Article 82
 - Circumstances where a conduct indicating behaviour that is prohibited under Regulation (EU) No 596/2014 may be assumed
 - (Articles 31(2) and 54(2) of Directive 2014/65/EU)
 - CHAPTER V
 - Article 83
 - Position reporting
 - (Article 58(1) of Directive 2014/65/EU)
 - CHAPTER VI
 - Article 84
 - Obligation to provide market data on a reasonable commercial basis
 - (Article 64(1) and 65(1) of Directive 2014/65/EU)
 - Article 85
 - Provision of market data on the basis of cost
 - (Article 64(1) and 65(1) of Directive 2014/65/EU)
 - Article 86
 - Obligation to provide market data on a non-discriminatory basis
 - (Article 64(1) and 65(1) of Directive 2014/65/EU)
 - Article 87
 - Per user fees
 - (Article 64(1) and 65(1) of Directive 2014/65/EU)
 - Article 88
 - Unbundling and disaggregating market data
 - (Article 64(1) and 65(1) of Directive 2014/65/EU)
 - Article 89
 - Transparency obligation
 - (Article 64(1) and 65(1) of Directive 2014/65/EU)
 - CHAPTER VII
 - Article 90
 - Determination of the substantial importance of the operations of a trading venue in a host Member State
 - (Article 79(2) of Directive 2014/65/EU)
 - CHAPTER VIII
 - Article 91
 - Entry into force and application
 - ANNEX I
 - Minimum list of records to be kept by investment firms depending upon the nature of their activities
 - ANNEX II
 - ANNEX III
 - ANNEX IV