Page 236 - Albanian law on entrepreuners and companies - text with with commentary
P. 236

-    Directive 2003/6/EC of 28 January 2003 on Insider Dealing and Market Manipulation
                 (Market  Abuse);  implemented  by  Directive  2004/72/EC  of  29  April  2004  on  Fair
                 Market Practises (“Safe Harbour”); by Directive 2003/124/EC of 22 December 2003 on
                 Definition  and Public  Disclosure  of  Inside  Information  and the Definition of  Market
                 Manipulation; by Directive 2003/125/EC of 22 December 2003 on Fair Presentation of
                 Investment Recommendations and the Disclosure of Conflicts of Interest;
            -    Directive  2003/58/CE  of  15  July  2003  amending  Council  Directive  68/151/EEC,  as
                 regards disclosure requirements in respect of certain types of companies
            -    Directive  2003/71/EC  of  4  November  2003  on  the Prospectus  to  be Published  when
                 Securities are Offered to the Public or Admitted to Trading and Amending Directive
                 2001/34/EC;
            -    Directive  2003/72/EC  of  22  July  2003  supplementing  the  Statute  for  a  European
                 Cooperative Society with regard to the involvement of employees;
            -    Directive 2004/25/EC of 21 April 2004 (Take Over Diretive);
            -    Directive  2004/109/EC of 15 December 2004 on the Harmonisation of Transparency
                 Requirements in Relation to Information about Issuers whose Securities are Admitted to
                 Trading  on  a  Regulated  Market  and  Amending  Directive  2001/34/EC  (Transparency
                 Directive);
            -    Directive 2004/39/EC of 21 April 2004 on Markets in Financial Instruments, amended
                 by Directive 2006/31/EC of 5 April 2006;
            -    Directive 2005/56/EC of 26 October 2005 (Cross Border Merger Directive);
            -    Directive  2006/43/EC  of  17  May  2006  (Auditors  Directive),  replacing  the  Eight
                 Directive;
            -    Directive 2006/68/EC of 6 September 2006 amending Council Directive 77/91/EEC as
                 regards  the  formation  of  public  limited  liability  companies  and  the  maintenance  and
                 alteration of their capital
            -    Directive 2007/36/EC of 11 July 2007 on Shareholders’ rights in listed companies;
            -    Directive 2007/63/EC of 13 November 2007 amending Merger and Division Directives.
            -    Directive 2009/101/EC of 16 September 2009 which covers discloser requirements of
                 companies  and  which  replaces  the  First  Company  Law  Directive.  This  Directive  is
                 amended by Directive 2012/17/EU.
            -    Directive 2009/102/EC  (the 12th Company Law Directive) provides a framework for
                 setting  up  a  single-member  company  (in  which  all  shares  are  held  by  a  single
                 shareholder). It covers private limited liability companies, but EU countries may decide
                 to extend it to public limited liability companies. It replaces Directive 89/667/EEC.
            -    Directive 2009/109/EC of 16 September 2009 amending Council Directives 77/91/EEC,
                 78/855/EEC  and  82/891/EEC,  and  Directive  2005/56/EC  as  regards  reporting  and
                 documentation requirements in the case of mergers and divisions
            -    Directive 2011/35/EU  deals with mergers between public limited liability companies in
                 a single EU country. It covers protection for shareholders, creditors and employees. It
                 replaces Directive 78/855/EEC (former 3rd Company Law Directive).

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