Regulation of the EU financial markets: MiFID II and MiFIR
Gespeichert in:
Weitere Verfasser: | , |
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Format: | Buch |
Sprache: | English |
Veröffentlicht: |
Oxford
Oxford University Press
2017
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Ausgabe: | First edition |
Schlagworte: | |
Online-Zugang: | Inhaltsverzeichnis |
Beschreibung: | li, 709 Seiten Diagramme |
ISBN: | 9780198767671 |
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Datensatz im Suchindex
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adam_text | CONTENTS
TABLE OF CASES XV
TABLE OF LEGISLATION XVII
LIST OF ABBREVIATIONS XLIII
AUTHOR BIOGRAPHIES XLIX
I GENERAL ASPECTS
1. WHO S AFRAID OF MIFID II?: AN INTRODUCTION
DANNY BUSCH AND GUIDO FERRARINI
I. INTRODUCTION 1.01
II. INVESTMENT FIRMS AND INVESTMENT SERVICES 1.14
III. TRADING 1.29
IV. SUPERVISION AND ENFORCEMENT 1.45
V. THE BROADER VIEW AND THE FUTURE OF MIFID 1.48
VI. FINAL REMARKS 1.52
II INVESTMENT FIRMS AND INVESTMENT SERVICES
2. THE SCOPE OF MIFID II
KITTY LIEVERSE
I. INTRODUCTION 2.01
II. INVESTMENT FIRMS UNDER MIFID II 2.02
III. CREDIT INSTITUTIONS 2.15
IV. INVESTMENT FIRMS UNDER THE CRR 2.16
V. STRUCTURED DEPOSITS 2.26
VI. GENERAL EXEMPTIONS TO MIFID II APPLICABILITY 2.29
VII. TRADING ON OWN ACCOUNT 2.37
VIII. DEALINGS IN EMISSION ALLOWANCES 2.42
IX. FINANCIAL INSTRUMENTS 2.43
X. INSURANCE COMPANIES AND INSURANCE INTERMEDIARIES 2.51
XI. MANAGERS OF COLLECTIVE INVESTMENT UNDERTAKINGS 2.55
VII
CONTENTS
XII. DATA-REPORTING SERVICE PROVIDERS 2.57
XIII. MARKET OPERATORS 2.60
XIV. CONCLUSION 2.61
3. GOVERNANCE OF INVESTMENT FIRMS UNDER MIFID II
JENS-HINRICH BINDER
I. INTRODUCTION 3.01
II. GOVERNANCE-RELATED REGULATION OF INVESTMENT FIRMS BETWEEN
PRUDENTIAL AND CONDUCT-OF-BUSINESS REGULATION 3.04
III. HIE TECHNICAL FRAMEWORK UNDER MIFID II 3.21
IV. CONCLUSIONS 3.65
4. THE OVERARCHING DUTY TO ACT IN THE BEST INTEREST OF THE CLIENT
IN MIFID II
LUCA ENRIQUES ANDMATTEO GARGANTINI
I. INTRODUCTION 4.01
II. ANTECEDENTS OF THE INVESTMENT FIRM S DUTY TO ACT IN
THE BEST INTEREST OF THE CLIENT 4.04
III. THE DUTY TO ACT IN THE BEST INTEREST OF THE CLIENT IN MIFID II 4.07
IV. THE DUTY S FUNCTIONS AND CONTENTS 4.16
V. THE ARTICULATION OF THE DUTY WITH RESPECT TO INDIVIDUAL
SERVICES AND ACTIVITIES 4.32
VI. A LOOK ACROSS THE ATLANTIC 4.73
VII. ASSESSMENT 4.82
5. PRODUCT GOVERNANCE AND PRODUCT INTERVENTION UNDER MIFID II/MIFIR
DANNY BUSCH
I. INTRODUCTION 5.01
II. PRODUCT GOVERNANCE 5.02
III. PRODUCT INTERVENTION 5.41
IV. CONCLUSION 5.74
6. INDEPENDENT FINANCIAL ADVICE
PAOLO GIUDICI
I. INTRODUCTION 6.01
II. ECONOMIC BACKGROUND 6.03
III. MIFID I 6.15
VI11
CONTENTS
IV. MIFID II 6.20
V. CONCLUSIONS 6.45
7. CONFLICTS OF INTEREST
STEFAN GRUNDMANN ANDPHILIPP HACKER
I. FOUNDATIONS OF THE REGIME 7.01
II. THE REGIME BY SINGLE STAGES AND EXAMPLES 7.31
III. CONCLUSION 7.87
8. INDUCEMENTS
LARISSA SILVERENTAND, JASHA SPRECHER, AND LISETTE SIMONS
I. INTRODUCTION 8.01
II. CURRENT LEGISLATION 8.04
III. THE DUTCH INDUCEMENT BAN 8.18
IV. THE UK INDUCEMENT RULES 8.30
V. MIFID II 8.37
VI. RESEARCH AS AN INDUCEMENT 8.60
VII. CONCLUSION 8.67
9. AGENCY AND PRINCIPAL DEALING UNDER MIFID I AND MIFID II
DANNY BUSCH
I. INTRODUCTION 9.01
II. FOUR TRANSACTION TYPES 9.04
III. INVESTOR PROTECTION 9.19
IV. ACTING AS AGENT OR AS PRINCIPAL: NOT A JUSTIFIED DISTINCTION
TO SERVE AS A BASIS FOR DETERMINING THE DEGREE OF INVESTOR
PROTECTION 9.23
V. CONCLUSION 9.55
10. MIFID II/MIFIR S REGIME FOR THIRD-COUNTRY FIRMS
DANNY BUSCH AND MARIJE LOUISSE
I. GENERAL 10.01
II. SCOPE OF MIFID II/MIFIR S REGIME FOR THIRD-COUNTRY FIRMS 10.04
III. ELIGIBLE COUNTERPARTIES AND PER SE PROFESSIONAL CLIENTS 10.17
IV. RETAIL CLIENTS AND OPT UP PROFESSIONAL CLIENTS 10.45
V. RETAIL CLIENTS, PROFESSIONAL CLIENTS, AND ELIGIBLE
COUNTERPARTIES 10.57
IX
CONTENTS
VI. INITIATIVE TEST 10.65
VII. CONCLUSION 10.76
III TRADING
11. GOVERNANCE AND ORGANIZATION OF TRADING VENUES: THE ROLE
OF FINANCIAL MARKET INFRASTRUCTURE GROUPS
GUIDO FERRARINI AND PAOLO SAGUATO
I. INTRODUCTION 11.01
II. TRADING FACILITIES: CONCEPT AND REGULATORY FRAMEWORK 11.03
III. THE EU SCENARIO OF TRADING VENUES 11.32
IV. FMI GROUPS IN AN MIFID II WORLD 11.58
V. CONCLUSION 11.86
12. EU FINANCIAL GOVERNANCE AND TRANSPARENCY REGULATION: A TEST
FOR THE EFFECTIVENESS OF POST-CRISIS ADMINISTRATIVE GOVERNANCE
NIAMH MOLONEY
I. TRANSPARENCY REGULATION AND EU FINANCIAL
GOVERNANCE: WHY IT MATTERS 12.01
II. TRANSPARENCY REGULATION AND EU FINANCIAL GOVERNANCE 12.10
III. MIFIR, TRANSPARENCY, AND SUPERVISORY ADMINISTRATIVE
GOVERNANCE 12.34
IV. MIFIR, TRANSPARENCY, AND ADMINISTRATIVE REGULATORY
GOVERNANCE 12.45
V. CONCLUSION 12.56
13. SME GROWTH MARKETS
RIIDIGER VEIL AND CARMINE DI NOIA
I. INTRODUCTION 13-01
II. EXISTING ALTERNATIVE MARKETS FOR SMES IN EUROPE 13-04
III. SME GROWTH MARKETS UNDER MIFID II 13-15
IV. ALTERNATIVE DISCLOSURE OBLIGATIONS? 13.34
V. WHAT ROLE FOR THE SME GROWTH MARKET LABEL? SOME
REFLECTIONS ON ALTERNATIVE SCENARIOS 13-47
VI. CONCLUSION 13-54
CONTENTS
14. DARK TRADING UNDER MIFID II
PETER GOMBER AND ILYA GVOZDEVSKIY
I. INTRODUCTION 14.01
II. DARK POOLS: MOTIVATION, CLASSIFICATION, AND RELATED LITERATURE 14.10
III. DARK POOLS UNDER MIFID I 14.39
IV. DARK POOL REGULATION UNDER MIFID II/MIFIR 14.59
V. SUMMARY 14.101
15. DERIVATIVES: TRADING, CLEARING, STP, INDIRECT CLEARING,
AND PORTFOLIO COMPRESSION
REZAH STEGEMAN ANDARON BERKET
I. INTRODUCTION 15.01
II. THE TRADING OBLIGATION 15.06
III. THE CLEARING OBLIGATION 15.32
IV. THE STRAIGHT-THROUGH-PROCESSING OBLIGATIONS 15.49
V. THE OBLIGATIONS IN RESPECT OF INDIRECT CLEARING 15.76
VI. THE OBLIGATIONS IN RESPECT OF PORTFOLIO COMPRESSION 15.105
VII. A FEW FINAL REMARKS 15.128
16. COMMODITY DERIVATIVES
ANTONELLA SCIARRONE ALIBRANDI AND EDOARDO GROSSULE
I. INTRODUCTION 16.01
II. FEATURES OF THE COMMODITY DERIVATIVES MARKETS AND ITS
RELATION TO THE CRISIS 16.08
III. OVERVIEW OF DIE MOST IMPORTANT EU PROVISIONS
ON COMMODITY DERIVATIVES 16.17
IV. THE REGULATORY PERIMETER OF THE MIFID II/MIFIR PACKAGE 16.42
V. THE NEW POSITION LIMITS REGIME 16.63
VI. A NEW SET OF INTERVENTION POWERS FOR AUTHORITIES
AND TRADING VENUES 16.83
VII. CONCLUSION 16.90
17. ALGORITHMIC TRADING AND HIGH-FREQUENCY TRADING (HFT)
PIERRE-HENRI CONAC
I. INTRODUCTION 17.01
II. ALGORITHMIC TRADING 17.22
XI
CONTENTS
III. HIGH-FREQUENCY TRADING 17.42
IV. CONCLUSION 17.61
18. MIFID II AND EQUITY TRADING: A US VIEW
MERRITTB. FOX
I. BASIC BUILDING BLOCKS 18.04
II. HIGH-FREQUENCY TRADING 18.40
III. DARK POOLS AND INTERNALIZATION 18.94
IV. CONCLUSIONS: REFLECTIONS ON ISSUES RAISED BY MIFID II 18.105
IV SUPERVISION AND ENFORCEMENT
19. PUBLIC ENFORCEMENT OF MIFID II
CHRISTOS V. GORTSOS
I. INTRODUCTORY REMARKS 19.01
II. STRUCTURE OF THE STUDY 19.07
III. COMPETENT AUTHORITIES: GENERAL ASPECTS, POWERS,
AND REDRESS PROCEDURES 19.11
IV. COOPERATION ARRANGEMENTS 19.83
V. CONCLUDING REMARKS AND ASSESSMENT 19.127
20. THE PRIVATE LAW EFFECT OF MIFID I AND MIFID II: THE GENILCASE
AND BEYOND
DANNY BUSCH
I. GENERAL 20.01
II. MAY CIVIL COURTS BE LESS STRICT THAN MIFID I
AND MIFID II? 20.03
III. MAY CIVIL COURTS BE STRICTER THAN MIFID I AND MIFID II? 20.05
IV. MAY CONTRACTING PARTIES BE LESS STRICT THAN MIFID I
AND MIFID II? 20.21
V. MAY CONTRACTING PARTIES BE STRICTER THAN MIFID I
AND MIFID II? 20.22
VI. INFLUENCE OF MIFID I AND MIFID II ON THE PRINCIPLE
OF RELATIVITY 20.28
VII. INFLUENCE OF MIFID I AND MIFID II ON PROOF OF CAUSATION 20.30
VIII. INFLUENCE OF MIFID I AND MIFID II ON A CONTRACTUAL
LIMITATION OR EXCLUSION OF LIABILITY 20.36
XN
CONTENTS
IX. MIFID I AND MIFID II ASSESSMENTS BY THE COURTS OF THEIR
OWN MOTION IN RELATION TO PRIVATE INVESTORS? 20.39
X. CONCLUSION 20.40
V THE BROADER VIEW AND THE FUTURE OF MIFID
21. MIFID II IN RELATION TO OTHER INVESTOR PROTECTION
REGULATION: PICKING UP THE CRUMBS OF A PIECEMEAL APPROACH
VEERLE COLAERT
I. INTRODUCTION 21.01
II. MIFID II VERSUS IDD 21.04
III. MIFID II AND IDD VERSUS UCITS KII AND PRIIPS KID 21.27
IV. CROSS-SELLING PRACTICES 21.52
V CONCLUSION 21.57
22. SHADOW BANKING AND THE FUNCTIONING OF FINANCIAL MARKETS
EDDY WYMEERSCH
I. INTRODUCTION 22.01
II. SHADOW BANKING: CONCEPT AND TERMINOLOGY 22.10
III. NON-REGULATED ACTIVITY ACCORDING TO THE FSB APPROACH 22.17
IV. WHAT FINANCIAL ACTIVITY IS NOT SUBJECT TO BANKING
SUPERVISION? 22.27
V. THE EUROPEAN RESPONSE TO SHADOW BANKING 22.35
VI. CONCLUSION 22.132
23. INVESTMENT-BASED CROWDFUNDING: IS MIFID II ENOUGH?
GUIDO FERRARINI AND EUGENIA MACCHIAVEUO
I. INTRODUCTION 23.01
II. BENEFITS, RISKS, AND CHALLENGES 23.04
III. MIFID I 23.12
IV. NATIONAL APPROACHES TO CROWDFUNDING 23.18
V. MIFID II 23.34
VI. CONCLUDING REMARKS 23.55
INDEX 693
XNI
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language | English |
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spellingShingle | Regulation of the EU financial markets MiFID II and MiFIR Europäische Union Richtlinie über Märkte für Finanzinstrumente II (DE-588)1130731324 gnd Europäische Union Verordnung über Märkte für Finanzinstrumente (DE-588)1130732509 gnd Recht Finance / European Union countries Financial institutions / European Union countries Financial instruments / European Union countries Financial institutions / Law and legislation / European Union countries Monetary policy / European Union countries Finanzdienstleistungsaufsicht (DE-588)4741959-3 gnd |
subject_GND | (DE-588)1130731324 (DE-588)1130732509 (DE-588)4741959-3 |
title | Regulation of the EU financial markets MiFID II and MiFIR |
title_auth | Regulation of the EU financial markets MiFID II and MiFIR |
title_exact_search | Regulation of the EU financial markets MiFID II and MiFIR |
title_full | Regulation of the EU financial markets MiFID II and MiFIR edited by Danny Busch, Guido Ferrarini |
title_fullStr | Regulation of the EU financial markets MiFID II and MiFIR edited by Danny Busch, Guido Ferrarini |
title_full_unstemmed | Regulation of the EU financial markets MiFID II and MiFIR edited by Danny Busch, Guido Ferrarini |
title_short | Regulation of the EU financial markets |
title_sort | regulation of the eu financial markets mifid ii and mifir |
title_sub | MiFID II and MiFIR |
topic | Europäische Union Richtlinie über Märkte für Finanzinstrumente II (DE-588)1130731324 gnd Europäische Union Verordnung über Märkte für Finanzinstrumente (DE-588)1130732509 gnd Recht Finance / European Union countries Financial institutions / European Union countries Financial instruments / European Union countries Financial institutions / Law and legislation / European Union countries Monetary policy / European Union countries Finanzdienstleistungsaufsicht (DE-588)4741959-3 gnd |
topic_facet | Europäische Union Richtlinie über Märkte für Finanzinstrumente II Europäische Union Verordnung über Märkte für Finanzinstrumente Recht Finance / European Union countries Financial institutions / European Union countries Financial instruments / European Union countries Financial institutions / Law and legislation / European Union countries Monetary policy / European Union countries Finanzdienstleistungsaufsicht Europäische Union. Mitgliedsstaaten |
url | http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=029067531&sequence=000001&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA |
work_keys_str_mv | AT buschdanny regulationoftheeufinancialmarketsmifidiiandmifir AT ferrariniguido regulationoftheeufinancialmarketsmifidiiandmifir |