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Adam Mac Nulty joins Brandes

By: Jonathan Boyd | 09 Oct 2017

Adam Mac Nulty has joined Brandes Investment Partners as institutional client portfolio manager based in Dublin, from where he will work with clients and consultants across Europe,…

Morningstar warns Mifid II target market data requirement lacks ‘clarity’

By: Jonathan Boyd | 02 Oct 2017

The issue of Mifid II has once more come under the spotlight with a warning from Morningstar that time is running out for fund distributors to integrate…

Brexit: TD shifts bond trading to Dublin

By: Jonathan Boyd | 22 Aug 2017

TD Securities has confirmed that is is shifting its bond trading business to Dublin, citing a need to grow in Europe but “respond to the changing business…

Banks likely to favour in-house funds for sub-advisory post Mifid II – instiHub

By: Jonathan Boyd | 15 Aug 2017

instiHub, data provider to some €413bn of assets in the sub-advisory channel, has stated in its latest quarterly market comment that banks are likely to favour in-house…

IoM proposes new closed ended investment scheme regulation

By: Helen Burggraf | 10 Aug 2017

The Isle of Man Financial Services Authority said it plans to go ahead with proposed changes to the regulations governing the way closed ended investment companies are…

Liquidity key to fixed income trading decisions – survey

By: Jonathan Boyd | 20 Jul 2017

The ability to access liquidity tops the concerns identified among US and European institutional traders, according to the latest Fixed Income Institutional Voice Survey published by trading…

Esma clarifies Opinion as it affects AMs post Brexit

By: Jonathan Boyd | 14 Jul 2017

The European Securities and Markets Authority (Esma) has provided further information relating to its broader Opinion, published in May (see below), that more precisely outlines its thoughts…

Esma consults on suitability requirement under Mifid II

By: Jonathan Boyd | 14 Jul 2017

The European Securities and Markets Authority (Esma) has issued a consultation document on its draft guidelines around aspects of the suitability requirement demands under Mifid II. Originally…

Esma hits Moody’s with €1.24m fine

By: Jonathan Boyd | 01 Jun 2017

Ratings agency Moody’s has been hit with a €1.25m fine for breaking credit ratings rules. The European Securities and Markets Authority fined Moody’s Deutschland GmbH (Moody’s Germany) €750,000…

Esma opinion on NCAs post-Brexit misjudged, says law firm

By: Jonathan Boyd | 01 Jun 2017

The opinion issued by the European Securities and Markets Authority (Esma) in regards to the role of National Competent Authorities (NCAs) if and when approached by UK-based…

Esma outlines rules for AMs to move from UK to EU post-Brexit

By: Jonathan Boyd | 31 May 2017

The European Securities and Markets Authority (Esma) has outlined supervisory principles to be applied to regulated firms such as asset managers moving to onshore their business once…

Beps poses ‘collateral damage’ threat to AM industry – conference hears

By: Jonathan Boyd | 24 May 2017

Tax experts taking part in a panel discussion at the recent Guernsey Funds Forum in London warned that the asset management industry could end up becoming the…

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