Regulation
All article related regulation within investment banking
Regulation
Regulation,
September 2015
ESAs see continued risks in EU financial markets and call for rigorous action on assets and liabilities
The European Supervisory Authorities (ESAs) for securities (ESMA), banking (EBA), and insurance and occupational pensions (EIOPA) have today issued their August 2015 Joint Committee Report on Risks and Vulnerabilities in the EU financial (...)
Regulation,
March 2015
EDHEC-Risk Institute warns European Parliament on opacity in index regulation proposal
In an open letter addressed to the Chair of the European Parliament ECON committee, Roberto Gualtieri on February 20, 2015, EDHEC-Risk Institute has expressed its concern about the new draft text which is being proposed for a vote by the committee on March 9, which plans to (...)
Regulation,
March 2015
ESMA publishes review on best execution supervisory practices under MiFID
The European Securities and Markets Authority (ESMA) has conducted a peer review on how national regulators (national competent authorities or NCAs) supervise and enforce the MiFID provisions relating to investment firms’ obligation to provide best execution, or obtain the (...)
News,
December 2014
5 banks hold more than 44% of US industry’s assets
Five companies owned more than 44% of the U.S. banking industry’s total assets at Sept. 30 — a dramatic increase from decades past according to SNL Financial’s latest report released today.
Note,
November 2014
Why the ECB asset quality review, stress test raise longer term questions
Although "only" 25 banks failed the ECB test, the central bank’s health check shows that others have reasons to be concerned. SNL data sheds light on some of the implications of the exercise, not only for the failed banks, but also the "near (...)
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