Investment Firms Quarterly Legal and Regulatory Update - October to December 2018
For further information on any of the issues discussed in this publication please contact the related contact(s) on this page.
Areas covered in this quarterly update include;
MiFID II - Irish Developments
MiFID II - European Developments
Capital Requirements Directive IV / V / CRR / CRR II
Packaged Retail Insurance-based Investment Products (“PRIIPs”)
European Markets Infrastructure Regulation (“EMIR”)
Securitisation Regulation
The Securities Financing Transactions Regulation (“SFTR”)
Central Securities Depositories Regulation (“CSDR”)
Credit Rating Agencies Regulation (“CRAR”)
Benchmarks Regulation
Short Selling Regulation (“SSR”)
The Bank Recovery and Resolution Directive (“BRRD”)
Financial Stability Board (“FSB”)
European Central Bank (“ECB”)
European Commission
European Parliament
ESMA, EBA and ESAs
Market Abuse Regulation (“MAR”)
Transparency Directive
Prospectus Regulation
Central Bank of Ireland
Euronext (formerly the Irish Stock Exchange (“ISE”))
Anti-Money Laundering (“AML”) / Counter-Terrorist Financing (“CTF”)
Anti-Corruption Legislation & Law Reform
Data Protection / General Data Protection Regulation (“GDPR”) / Cyber Security
The International Swaps and Derivatives Association (“ISDA”)
Brexit
To download our Investment Firms Quarterly Legal and Regulatory Update for the period October to December 2018 click on the Download PDF link above.
If you have any questions in relation to the content please do not hesitate to contact your usual contact in Dillon Eustace.
DISCLAIMER: This document is for information purposes only and does not purport to represent legal advice. If you have any queries or would like further information relating to any of the above matters, please refer to the contacts above or your usual contact in Dillon Eustace.
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