The law on internal dealing has extended the level of disclosure to investors
and the market required from listed companies.
In line with the provisions set out by the Consolidated Law on Financial Intermediation
and the implementing Regulation issued by Consob (“Regulation on issuers”), the
Board of Directors of Assicurazioni Generali S.p.A. has approved its Regulation on Internal Dealing.
The Regulation on Internal Dealing shall regulate the procedures to disseminate
information to the market on transactions - whose value is equal to or higher
than € 5,000 - that have been carried out by Internal Dealers or the Persons closely
related to Internal Dealers in a calendar year. These transactions concern shares
issued by the Company and its Italian or foreign subsidiaries which are traded
on EU regulated markets, as well as financial instruments related to the shares
issued by the Company or its listed subsidiaries.
Any communication is to be made by using the relevant model included in Annex 6 of the above-mentioned Regulation on Issuers.
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