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BoE/ECB discussion paper on a better functioning securitisation market
The BoE is seeking to revive the market for asset-backed securities as a useful mechanism for lending. (Includes comment by AFME.)
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FN: Listed derivatives trading back on the rise
Global derivatives volumes traded on exchanges grew by over 7 per cent in 2013 with greater activity in futures and options based on commodities and interest rates helping to reverse the previous year’s declines.
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DerivSource: EMIR changes collateral management choices
When overhauling collateral management, financial institutions have two choices: in-house development or outsourced solutions. The complexity of their business and cost are decisive considerations.
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ComplianceComplete: Firms must share more best-execution data with clients under MiFID II
Investment firms in Europe will be required to publish substantially more detail than they currently do on the quality of their trade execution when the region's new securities regime goes live in early 2017.
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CAIA: MiFID implementation consultation - A rocky start
As amended, MiFID II will add significant changes, including transparency requirements, the mandatory movement of derivatives trading onto exchanges, strengthened protection for retail investors, and new requirements for algo and high-frequency traders.
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The Trade: Concerns raised over MiFID consultation timetable
ESMA's discussion paper on MiFID II gives some initial insights into the practical implications of the upcoming regime, though there remains much uncertainty.
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FN: List of MiFID II proposals on controlling HFT
The second version of MiFID includes measures to control aspects of electronic trading and high-frequency trading for the first time.
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Financial News: High-speed traders face slowing effects of regulatory hurdles
The European Commission’s working document “European Financial Stability and Integration Report 2013” proposes changes that would mean a major shake-up for high-frequency trading (HFT) in Europe, if implemented.
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ESMA publishes updated Q&A on the CRA Regulation
ESMA published a second set of Q&As on the CRA Regulation (CRA 3). It provides clarifications on sovereign ratings and conflict of interests concerning investments in CRAs.
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ESMA censures Standard & Poor's for internal control failings
ESMA issued a public notice censuring Standard & Poor’s Credit Market Services France SAS and Standard & Poor’s Credit Market Services Europe Limited for breaches of the CRA Regulation when falsely reporting on France's downgrade in 2011.
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IOSCO consults on strategic framework for investor education/financial literacy
IOSCO published a consultation report on the Strategic Framework for Investor Education and Financial Literacy, which describes IOSCO’s role in promoting investor education and financial literacy and its strategic approach to both.
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IOSCO seeks stakeholder views on its 2015 – 2020 strategic plan
IOSCO is undertaking a review to develop a strategic plan for the period from 2015 to 2020, the IOSCO 2020 Review. Stakeholders are asked to participate in an online questionnaire by 27 June 2014.
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