All MiFID II articles – Page 2
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NewsAsset management roundup: TISA MiFID II reporting platform goes live
Plus: Kempen introduces diversified distressed debt pool, MJ Hudson acquires private markets performance analytics specialist
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FeaturesBriefing: An unfortunate lack of ambition
The second Capital Markets Union (CMU) Action Plan of the EU Commission lacks ambition. This at a time when the EU Commission wants to set an industrial policy for the EU to bolster competitiveness in key sectors. It also comes shortly before the UK’s departure from the EU. Yet a vision of what the EU wants to achieve, by when and how, is missing.
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WTW starts new German investment services firm amid Brexit uncertainty
WTW has decided to make Germany the hub for providing these services in continental Europe after Brexit
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NewsSME research boost targeted in capital markets recovery package
EU executive arm proposes changes to several regulations and consults on MiFID II research regime rules
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NewsEC ‘not playing by the rules’ with ESG product adds in MiFID II proposal
Proposed restrictions on ‘Article 8’ also seen as working against broader policy aim of building sustainable economies
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NewsFCA outlines thinking about UK prudential rules for investment firms
‘Investment firms should be aware of the scale of the change the IFD/IFR represents’
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Dutch supervisor on Brexit volatility risks, MiFID II impacts
But local financial sector ‘sufficiently prepared’ for Brexit
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NewsLuxembourg regulator highlights hard Brexit implications for UK firms
CSSF requires notifications from financial services firms by 15 September and a further submission by the end of October in order to keep operating through a ‘hard Brexit’ scenario
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ESMA: ‘We need to be more nuanced about sustainability’
Sustainability is about more than a binary choice between ‘brown’ and ‘green’ assets, says Europe’s top financial regulator
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NewsLGPS to create compliance system for cost transparency code
Compliance and reporting system would be accompanied by policy for delisting
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Aberdeen Standard strikes agreements on UK small cap, China ventures
FTSE 100-listed investment house joins forces with Gresham House and enters China’s pension market
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UK regulator rejects MiFID II sector coverage fears
Andrew Bailey says the revised directive could save investors as much as £1bn in the next five years
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MiFID II research rules ‘hitting sector coverage and quality’
Largest asset managers have made the largest cuts to their research budgets in the wake of MiFID II changes
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MiFID II has shrunk fixed income research market, research indicates
ICMA survey finds asset managers using fewer providers as availability of research declines – but quality ‘has not changed’
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UK asset management body calls for bond market data boosts
Proposals formulated in light of best execution requirement under MiFID II
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Better Finance slams ‘inadequate’ work from EU on online tools
Lobby group for retail investors has called for more work on comparison tools and reiterated criticisms of pension products
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Unbundling research payments has hurt transparency, report finds
Widespread move to pay for investment research from P&L may reduce transparency, according to Scope and Frost
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Low-cost investment research ‘unsustainable’, managers claim
Quality and scope of investment research is already being affected, survey finds
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NewsBroker commission down by 20% as MiFID II bites [updated]
Unbundling rules have caused a cut in commission, survey finds, but rise of algorithms also affecting costs
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NewsAllianz ‘still to agree price of investment research’ under MiFID II
Early signs suggest sell-side and buy-side firms are still in ‘price discovery’ stage for investment research
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