Markets in financial instruments directive (mifid)
Regulation, market coupling and the drawback of import/export tariffs were some of the most pressing issues discussed at Energy Risk’s central and eastern Europe conference last month. Gillian Carr reports...
Just over 60% of respondents plan to up their technology spend next year, with market risk systems the main beneficiary
The vast majority of respondents to a Risk.net poll do not believe G-20 members will meet the end-2012 deadline for all standardised OTC derivatives to be cleared through CCPs
Banks are increasingly using their IT infrastructure to increase their competitive advantage. Learn how this can work in practice.
More Markets in financial instruments directive (mifid) articles
European regulation aimed at driving more commodity derivatives trading through clearing is causing concern among small and medium-sized energy companies that don’t yet know if they will be exempted from the requirements. Gillian Carr reports
Last month’s updates to the Markets in Financial Instruments Directive (Mifid II) and the Markets in Financial Instruments Regulation (Mifir), the regulations implementing Mifid II, could have a significant impact on energy trading companies, say experts...
Firms say definition of "algorithmic trading" needs revising, while exchanges applaud new pre- and post-trade transparency framework for OTC derivatives
The European Commission tabled proposals to revise the Markets in Financial Instruments Directive on October 20. But traders remain concerned about the implications of a one-size-fits-all approach to foreign exchange
Industry experts warn new Mifid and Mifir proposals might push business overseas
One of the key aims of the European Securities and Markets Authority is to deliver a common approach to regulation across the EU, ensuring consistency and co-operation across borders. Executive director Verena Ross talks to ORR about how the new regulator...
Regulators should be wary about applying financial market regulation to all end-users, warn panellists
This handy guide reviews the various steps banks are taking to improve their risk management techniques, looking at the benefits and pitfalls of each one.
Related conferences
USA, 5th Jun 2013
UK, 12th Jun 2013
Brazil, 12th Jun 2013
Brazil, 12th Jun 2013
UK, 3rd Jul 2013
Related training
Canada, 21st - 16th Oct 2013
UK, 22nd - 23rd May 2013
UK, 5th - 6th Jun 2013
UK, 5th - 6th Jun 2013
Canada, 10th - 14th Jun 2013
Updating your subscription status
Risk IPad Apps
Email alerts
Weekly poll
Related Jobs