2 02, 2017

COVIP: feedback on the impact of bail-in on pension funds’ assets

By | February 2nd, 2017|Finance, Financial Regulation|

On 26 January 2017, Covip (the Italian Pension Funds Authority) published its response to the question (posed by Assofondipensioni, an Italian non-profit industry association) on the impact of the bail-in rules to the assets in which supplementary pension funds invests their funds.

Covip concludes that:

  • Assets entrusted to the management of a third party manager are not subject to […]
2 02, 2017

EIOPA: Consultation on Guidelines on complex insurance-based investment products

By | February 2nd, 2017|Finance, Financial Regulation, Insurance|

On 2 February 2017 European Insurance and Occupational Pensions Authority (EIOPA) published a Consultation Paper on Guidelines on complex Insurance-Based Investment Products (IBIPs) that incorporate a structure which makes it difficult for the customer to understand the risks involved. The Guidelines cover the assessment of all types of IBIPs. They include criteria to identify product […]

12 01, 2017

ESMA on MiFIR product intervention powers

By | January 12th, 2017|Capital Markets, Finance, Financial Regulation|

On 12 January 2017, the European Securities and Markets Authority (ESMA) issued an Opinion calling for consistent application of the product intervention powers under the Markets in Financial Instruments Regulation (MiFIR).

From 3 January 2018, ESMA and NCAs will have the power to temporarily prohibit or restrict investment firm’s marketing, distribution or sale of:

  • Units or shares in UCITS […]
20 12, 2016

Capital markets union: Council confirms deal on prospectus rules

By | December 20th, 2016|Capital Markets, Finance, Financial Regulation|

On 20 December 2016, the Permanent Representatives Committee approved, on behalf of the Council, an agreement with the European Parliament on prospectuses for the issuing and offering of securities.

“This regulation will help companies gain access to European capital markets by reducing some of the administrative formalities”, said Peter Kažimír, Slovak minister for finance and president of […]

20 12, 2016

COVIP: Overview on investment policies of Italian “Casse Professionali”

By | December 20th, 2016|Finance, Financial Regulation|

On 20 December 2016, Covip (the Italian Pension Funds Authority) published a survey on the investment policies adopted by self-employment pension funds (Casse Professionali) during year 2015 (“Document”). 

The Document firstly assesses the allocation of financial resources between the different asset classes and, in particular:

    […]

19 12, 2016

ESMA sets timetable for MIFID II waiver applications

By | December 19th, 2016|Capital Markets, Finance, Financial Regulation|

The European Securities and Markets Authority (ESMA) has updated two Questions and Answers (Q&A) documents regarding implementation issues relating to transparency topics and market structures topics under the Market in Financial Instruments Directive and Regulation (MiFID II/ MiFIR).

Transparency
The new MiFID II transparency regime, which requires trading venues to […]

19 12, 2016

ESMA prepares for MIFID II commodity derivatives regime

By | December 19th, 2016|Capital Markets, Finance, Financial Regulation|

The European Securities and Markets Authority (ESMA) has published a new questions and answers (Q&A) document on commodity derivatives topics under the revised Markets in Financial Instruments Directive and Regulation (MiFID II/ MiFIR).

MiFID II applies from 3 January 2018 and the purpose of this Q&A is to promote common supervisory approaches […]

19 12, 2016

ESMA agrees with the MAR accepted market practice (AMP) on liquidity contracts proposed by spanish regulator Comisión Nacional del Mercado de Valores (CNMV)

By | December 19th, 2016|Capital Markets, Finance, Financial Regulation|

The Opinion relates to the accepted market practice (AMP) notified by the CNMV, the Spanish securities markets regulator. This AMP refers to liquidity contracts by which a credit institution or investment firm (financial intermediary) quotes in the equity market on behalf of the issuer, with a view of reinforcing liquidity in that share. […]

16 12, 2016

ESMA: Updated MIFID II Q&A on investor protection

By | December 16th, 2016|Capital Markets, Finance, Financial Regulation|

The European Securities and Markets Authority (ESMA) has added new Q&As to its Questions and Answers (Q&A) document on the implementation of investor protection topics under the Market in Financial Instruments Directive and Regulation (MiFID II/ MiFIR).

This Q&A provides clarifications on the following topics:

  • Best execution
  • Suitability
  • Post […]
16 12, 2016

EBA publishes the final draft of the Regulatory Technical Standards (RTS) on passporting pursuant to PSD2

By | December 16th, 2016|Commercial, Finance, Financial Regulation, FinTech, Newsflash|

[Newsflash n. 22]

Last 11th of December EBA launched a consultation on the draft Regulatory Technical Standards (RTS) on passporting pursuant to article 28(5) of the Payment Services Directive 2 (PSD2).

The PSD2 came into force on 12 January 2016 and is due to be implemented in all Member States on the 13th of January 2018.

The directive […]

Load More Posts