We assist clients with registration and licensing under Luxembourg and EU laws (including MiFID II), supporting investment services licences and market participant approvals.
Ongoing Compliance Management
ABM helps capital market participants meet ongoing reporting and disclosure obligations, adapting compliance programs to regulatory and market changes through continuous monitoring and audits.
We develop AML/CFT frameworks specific to securities and investment markets aligned with Luxembourg, EU, and FATF requirements.
Corporate Governance & Risk Management
We advise on governance frameworks complying with Luxembourg and EU principles, enhancing transparency, investor protection, and operational resilience.
Targeted training on securities laws, AML/CFT, insider trading prevention, and ethical market conduct delivered via workshops and e-learning.
Market Conduct & Insider Trading Controls
We help develop policies to prevent misconduct and insider trading, including employee trading rules, surveillance, and whistleblower programs to protect your firm and promote market integrity.