On Saturday 4th March 2006, Calamatta Cuschieri & Co. Ltd hosted a Regulatory & Legislative Training Seminar for Investment Advisors at the Hilton Business Centre. The scope of the training seminar was to provide a review of the Maltese investment services regulatory framework comprising the Investment Services, Professional Secrecy, Financial Markets, Market Abuse & Insider Dealing and Prevention of Money Laundering legislation. The seminar was delivered by Dr. Zammit Pace LL.M. (Lond.) LL.D. a practitioner in this field.
The Financial Services Firm has recently strengthened its complement of Investment Advisory members to nine professionally qualified individuals. The strengthening of the Investment Advisory team was driven by the goal of the Firm to further enhance the already unique relationship it enjoys with its clients; a client bond cultivated over the thirty-four years since the inception of A. Calamatta & Partners in 1972. This unique bond between our clients and our Investment Advisors is creating increasing demand for our services by individuals who are seeking to establish a similar relationship which we believe is an indispensable component in the philosophy of Calamatta Cuschieri & Co. Ltd”.
Mr. Alex Cuschieri, Director explained that “it is the policy of the Firm to ensure that all its Investment Advisors act with integrity, competence, dignity, and practice in an ethical and professional manner that will reflect credit on the Firm and the Financial Services profession; that they strive to maintain and improve their competence; and that they use reasonable care and exercise professional judgment when advising clients”.
The training seminar forms part of a series of new initiatives unveiled by this Financial Services Firm ensuring its clients obtain a continued premier level of service by making certain that its staff is kept abreast with the latest market trends.