
Securities and Markets Supervision
Securities and Markets Supervision involves regulating financial markets and protecting investors by overseeing activities like trading stocks, bonds, and other securities. Authorities set rules to ensure transparency, fairness, and stability, preventing fraud and market abuse. They also monitor firms and brokers to maintain trust and proper functioning of the financial system. Essentially, it’s about creating a secure environment where investors can participate confidently, knowing that regulations are in place to prevent manipulative or risky behaviors that could harm the economy or individuals.