Search Results for: MiFID
FCA publishes terms of reference for its investment and corporate banking market study
May 22nd, 2015
The Financial Conduct Authority (FCA) has set out the issues it will focus on as part of its market study into competition in investment and corporate banking. These markets are a cornerstone of the UK economy, helping companies raise ...
IP private wire service Trader Voice Anywhere connects voice traders to new markets faster
May 14th, 2015
Colt partners with GemaTech and TTC Solutions to deliver Trader Voice Anywhere Enables private wire service to turrets, IP phones and tablets Uses existing TDM turrets providing IP benefits without CAPEX investment Colt, GemaTech and TTC announced the launch ...
AETOS has its FCA license with variation of permission to hold the clients’ money
May 13th, 2015
Having been licensed and regulated by the FCA (the Financial Conduct Authority, with registration number 592778) in the UK for 2 years, AETOS has its FCA license with variation of permission (VOP) to hold clients’ money based on its ...
FIA: Tackling the risks of algorithmic trading
May 5th, 2015
Since the introduction of automated trading, much has changed in the operation of our markets: how to improve market structure and implement safeguards has been a key topic of conversation for both market participants and regulators for some time. ...
ESMA launches centralised data projects for MiFIR and EMIR
April 6th, 2015
The European Securities and Markets Authority (ESMA) has launched two major projects at the request of a number of National Competent Authorities (NCAs) who have delegated the following tasks to ESMA: to provide a central facility in relation to ...
Joint Open Access Letter to the European Securities and Markets Authority
April 2nd, 2015
A letter has been sent to Steven Maijoor, Chair of the European Securities and Markets Authority, regarding open access provisions within the MiFID II Regulatory Technical Standards, co-signed by Michael Spencer, chief executive of ICAP, Xavier Rolet, chief executive ...
FCA publishes its Business Plan for 2015/16 and announces details of new supervision and authorisation divisions
March 24th, 2015
The Financial Conduct Authority has set out the key areas of work it will undertake in the forthcoming financial year with the publication of its Business Plan for 2015/16. It also confirmed the creation of two new Divisions that would ...
ESMA sees increased convergence in automated trading supervision
March 19th, 2015
The supervision of automated trading has become more convergent across the European Union (EU), a recent review by the European Securities and Markets Authority (ESMA) has found. ESMA reviewed how the 30 national competent authorities (NCAs) across the EU ...
MFSA: Circular to the financial services industry on the issue of the PRIIPS Regulation
February 4th, 2015
The Malta Financial Services Authority (MFSA) would like to draw the attention of the financial services industry to the publication of Regulation (EU) No 1286/2014 of the European Parliament and of the Council of the 26 November 2014 on key information ...
Exchange Traded Fund Assets under management to exceed $5 trillion by 2020
January 26th, 2015
Professionally managed financial investments globally are predicted to grow at 6% per annum to reach $100 trillion by 2020, according to a new report by PwC. Exchange traded funds (ETFs) will pay a prominent role in this growth, as ...