Central Bank of Ireland Markets Update Issue 2 2017 - 13 March 2017 Central Bank of Ireland S.I. No. 60 of 2017 Central Bank (Supervision and Enforcement) Act 2013 (Section 48(1)) (Investment Firms) Regulations 2017 Exchange of Variation Margin Obligation Revised Fund Administrator Guidance Revised AIF Rulebook Central Bank published Sixteenth Edition of the UCITS Q&A Central Bank published Twenty-Fourth Edition of the AIFMD Q&A Remarks by Gerry Cross, Director of Policy and Risk, at Brexit and Asia: Implications for Financial Services in Ireland Event Remarks by Director of Policy & Risk, Gerry Cross, at industry breakfast event IT and cybersecurity risks facing the financial services sector Remarks by Director of Asset Management Supervision, Michael Hodson, at PWC's Alternative Investment Funds Seminar Address by Director of Asset Management Supervision, Michael Hodson, at KPMG Seminar Speech by Governor Philip R. Lane at University College Cork on "The Role of Financial Regulation in Protecting Consumers" Opening Statement by Director of Policy and Risk, Gerry Cross, at the Oireachtas Committee on Finance, Public Expenditure and Reform, and Taoiseach Please note that this Markets Update is intended to be a general summary only and does not purport to constitute an interpretation of, or the Central Bank’s position on, any of the legislative provisions, rules, requirements or guidance referenced herein. In case of any doubt, you should refer to the relevant legislative provision, rule, requirement or guidance document as applicable. The staff of the Central Bank are not authorised and cannot give you legal advice; you should seek this from your own legal advisor, if required.