Joyce has extensive experience in the field of financial markets regulation, with particular focus on the regulation of investment funds (AIFMD and UCITS) and investment services such as investment advice (MiFID II). She also advises clients on various investment management related aspects, including IMA’s, outsourcing agreements, obtaining the relevant regulatory approvals from the DNB and/or the AFM for fund distributions and license applications. Furthermore, she advises clients on the Market Abuse Regulation (MAR) and transparency requirements (TD2). Furthermore, Joyce is intensively involved with specific developments in financial markets regulations, such as sustainability rules (SFDR).