Page last updated: 04 February 2025

Legislation

The FMA has certain powers granted by legislation, to monitor compliance, investigate, and take enforcement action against conduct that may constitute a contravention of legislation, where it applies to financial market firms and individuals. This section explains the Financial Markets Conduct Act 2013 and other legislation we enforce.

Topics covered in this secton

Current FMC Act exemption notices

Financial Markets Conduct (Financial Reporting – NZ Windfarms Limited) Exemption Notice 2025
Financial Markets Conduct Exemption Notice 2025 for NZ Windfarms Limited issued by FMA under section 556 of the FMCA 2013.
Financial Markets Conduct (Fonterra Co-operative Group Limited – Share Subdivision) Exemption Notice 2025
Financial Markets Conduct exemption for Fonterra share subdivision under FMC Act 2013 effective from 1 December 2025
Financial Markets Conduct (Homeshare) Exemption Notice 2025
Financial Markets Conduct Homeshare Exemption Notice 2025 by FMA explains conditions, exemptions and investor limits in NZ.
Financial Markets Conduct (ICAP Brokers Pty Limited and ICAP New Zealand Limited) Exemption Notice 2025
Financial Markets Conduct Exemption Notice 2025 for ICAP Brokers and ICAP NZ under FMA section 556 promoting market flexibility.
Financial Markets Conduct (EML Payment Solutions Limited) Exemption Notice 2025
Financial Markets Conduct Exemption Notice 2025 for EML Payment Solutions Limited explains conditions and reporting under Australian GAAP.
Financial Markets Conduct (Recognised Exchanges) Exemption Amendment Notice 2020
The Financial Markets Conduct (Recognised Exchanges) Exemption Amendment Notice 2020 amends the Financial Markets Conduct (Recognised Exchanges) Exemp ...