In order to preserve the integrity of the capital market and investor trust, within the scope of its competences laid down in the Capital Market Act, Regulation (EU) No 596/2014, other regulations and the Exchange Rules, the Exchange shall conduct supervision of issuers and any financial instruments listed on the regulated market to determine compliance of an issuer or a financial instrument with the criteria for listing on the regulated market and/or compliance of the issuer with post-listing requirements laid down in the Exchange Rules for the particular regulated market segment.