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ECOFIN: Adoption of the new rules for short selling and certain aspects of credit default swaps
The regulation introduces common EU disclosure requirements and harmonises the powers that regulators may use in exceptional situations where there is a serious threat to financial stability.
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ECON Committee published draft report on CRAs
Some of the rapporteur's amendments are along the same lines as the Commission text, whereas others attempt to address matters not dealt with in the proposed new regulation, by putting forward innovative suggestions and pointing to possible alternative solutions.
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ECON Committee first exchange of views on MiFID II/MiFIR
Rapporteur Ferber stressed that the aim of the regulation was to reduce systemic risks and provide a more integrated and competitive internal market. He announced that he had received almost 200 contributions to his questionnaire.
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ESMA launched consultation on EMIR
The first part of the paper focuses on the clearing obligation, risk mitigation techniques for contracts not cleared by a CCP and exemptions to certain requirements. The second part focuses on CCP requirements, where a number of provisions need to be specified through technical standards.
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The European Data Protection Supervisor (EDPS) published opinions on MAD II, MiFID II and CRAs
In the financial sector, the EDPS is particularly concerned about the data protection issues raised by the new powers of the supervisory authorities, especially in relation to access to communication data and inspection of private premises.
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IOSCO consults on principles for ongoing disclosure for asset-backed securities
IOSCO has published a consultation report containing principles designed to provide guidance to securities regulators who are developing or reviewing their regulatory regimes for ongoing disclosure for asset-backed securities (ABS).
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GFMA letter on extraterritorial legislation: the problems posed for markets, clients and regulators
In its letter to Commissioner Barnier and Secretary Geithner, the Global Financial Markets Association (GFMA) expressed strong concern that regulation in different G20 jurisdictions may be creating conditions which could result in a fragmented transatlantic capital market.
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IOSCO consults on revised CIS Valuation Principles
The Technical Committee of the International Organisation of Securities Commissions (IOSCO) has published a consultation report on Principles for the Valuation of Collective Investment Schemes.
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Swedish Financial Supervisory Authority: High frequency trading not a threat to financial stability
High frequency trading contributes to – but is not responsible for – changes in trading. But there is still considerable concern that market abuse has increased and supervision is insufficient. These are the main conclusions from Finansinspektionen's investigation.
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Speech by Mark Hoban MP: What is the UK doing to strengthen financial market regulation at national and EU level?
Mr Hoban, Financial Secretary to the Treasury, said that the UK Government is in fact at the forefront of international efforts to remedy the failures of regulation, both in the UK and around the world, that led to the worst financial crisis in almost one hundred years.
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FN: OTFs should silence the OTC derivatives critics
The purpose of the G20's post-crisis reform objectives is to reduce systemic risks, both perceived and actual, by making the global over-the-counter derivatives market more transparent.
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FN: New disclosure rule threat to small caps
Moves by European regulators to make equity trading more transparent could limit the access of smaller companies to capital markets.
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EBF response to ESMA consultation on draft technical standards on short selling and CDS
EBF is concerned that the very limited time frame that ESMA was given in the level 1 text to prepare and consult the industry on its technical standards may impinge their quality.
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