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Europe
Commodities/Derivatives/Stock Exchanges
Cyprus
A.G. Erotocritou LLC
A.G. Erotocritou LLC has been invited by Burges Salmon to contribute the Cyprus chapter to a comprehensive paper in relation to the abovementioned topic.
European Union
Cadwalader, Wickersham & Taft LLP
European Union ("EU") national regulators have regulated the short selling of shares and certain aspects of credit default swaps ("CDS") ...
Akin Gump Strauss Hauer & Feld LLP
Further bans on all types of short selling have been extended by financial regulators in Austria, Belgium, France, Greece,...
Akin Gump Strauss Hauer & Feld LLP
Following on from Friday's temporary prohibitions on short selling, Belgium, France, Italy, Spain and the U.K. have announced temporary prohibitions ...
Proskauer Rose LLP
The European Banking Authority ("EBA") published a report on the benchmarking of diversity practices in credit institutions and investment firms under the CRD IV Directive (2013/36/EC).
Ireland
Matheson
We published a guide to MiFID in Ireland in December 2019. There are various initiatives underway to revise MiFID and MiFIR
Italy
Shearman & Sterling LLP
On March 17, 2020, CONSOB, the Italian markets and securities regulator, introduced an outright temporary ban on taking or increasing net short positions...
Dentons
L'emergenza sanitaria dovuta a COVID-19 e le relative misure adottate al fine del contenimento del contagio possono avere un impatto sulla contrattualistica in essere ...
Jersey
Ogier
This briefing document explains how a United Kingdom public limited company (‘PLC'), which is listed on the main list of the London Stock Exchange or on AIM
Luxembourg
Hogan Lovells
On January 15 2020, the Luxembourg Stock Exchange published a new version of its rules and regulations which entered into force on January 31 2020 (the New Rules and Regulations).
Turkey
ELIG Gürkaynak Attorneys-at-Law
Consequently, the investment contracts which can be regarded as capital market instruments are to be specified and determined by the CMB, on a case-by-case basis.
ELIG Gürkaynak Attorneys-at-Law
Throughout the second half of 2019, the Turkish government has introduced various changes to the country's banking legislation.
UK
WilmerHale
On 6 February 2020, Mark Steward, Executive Director of Enforcement and Market Oversight at the Financial Conduct Authority, spoke at the 19th Annual Institute on Securities Regulation in Europe.
Intertrust
Everyone was talking about big changes coming in 2021 during SFVegas. The talk centered around the demise of LIBOR, the use of SOFR as a replacement rate, market uncertainty and the ensuing litigation that will follow.
Herbert Smith Freehills
Two years after MiFID II and MiFIR started to apply, the MiFID review process has begun, with both the European Commission and the European Securities and Markets Authority (ESMA)...
Hogan Lovells
Following Andrew Bailey's speech in July 2017 that the UK Financial Conduct Authority (FCA) would, from the end of 2021
Hogan Lovells
With the start date for reporting in relation to securities financing transactions (SFTs), such as repos and securities lending, fast approaching, counterparties will need to ensure the necessary
Mayer Brown
In remarks at today's Benchmark Strategies Forum in London, organized by the International Swaps and Derivatives Association and the Asset Management Group of the Securities and Financial Markets Association, ...
Dentons
In the long term, the move from LIBOR to alternative risk-free rates (RFRs) should increase market integrity.
Herbert Smith Freehills
Welcome to the Winter 2020 edition of our corporate crime update – our round up of developments in relation to corruption, money laundering, fraud, sanctions and related matters.
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