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Dealing in Securities: The Law and Regulation of Sales and Trading in Europe

Buch | Hardcover
192 Seiten
2021
Bloomsbury Professional (Verlag)
978-1-5265-1436-3 (ISBN)
259,95 inkl. MwSt
Begins with the essential questions:

- whether brokerage and dealing in securities is regulated in a jurisdiction
- what aspects of the activity could bring it in scope for authorisation; and
- how it is determined which regulator has legal competence to supervise the business in scope.

The recent liberalisation of national authorisation regimes across Europe in the wake of MiFID II and Brexit, which has resulted in tensions with recent attempts by the EU to harmonise centrally the single market authorisation regime, is fully addressed. It reviews the details of the activities of sales, sales trading, trading and execution, what they each constitute (with reference to established communication and order management systems), the potential conflicts of interest that they bring about for a firm and how such conflicts can be managed. Each of these activities are mapped against specific regulatory obligations, such as best execution, pre- and post-trade transparency, inducements, dealing commissions rules, the short selling regime and shareholder disclosures, depicting the obligations schematically to assist the practitioner.

Also covers:

- dealing commission unbundling, which has reformed the way the provision and consumption of independent research and corporate access are related to execution services,
- the question of multilateral trading, in other words the point at which the activity of a broker becomes exchange-like and needs to be authorised as such,
- principal trading and the ability of firms to advance risk to their clients in the wake of the Volcker rule in the United States and similar legislation in Germany and elsewhere,
- the rise of Systematic Internalisers and the constraints imposed on them, such as the pre-trade transparency requirements and the tick size regime, and
- electronic trading, algorithmic trading, direct electronic access and high frequency trading, as well as the risk control framework that is relevant to all these activities.

This title is included in Bloomsbury Professional's Banking and Finance online service.

Christos Nifadopoulos is Group General Counsel at Rokos Capital Management, heading up the Legal and Compliance functions. Until 2021 he was Managing Director and Senior Counsel in the Legal Department of Goldman Sachs and headed the Equities Sales and Trading and Derivatives Legal Group in EMEA. He also had legal oversight of Global Investment Research of GS in EMEA and served as counsel to several committees of the firm.

1 Introduction
2 Authorising and regulating securities dealing in Europe
3 Dealing in securities and the primary obligations
4 Market abuse regime in Europe
5 Dealing commissions and the unbundling challenge
6 Multilateral and bilateral trading systems
7 Mandatory trading obligations
8 Electronic trading
9 Best execution
10 The future of market structure in Europe

Erscheinungsdatum
Verlagsort London
Sprache englisch
Maße 156 x 248 mm
Gewicht 472 g
Themenwelt Recht / Steuern EU / Internationales Recht
Recht / Steuern Wirtschaftsrecht Bank- und Kapitalmarktrecht
Wirtschaft Volkswirtschaftslehre Finanzwissenschaft
Wirtschaft Volkswirtschaftslehre Makroökonomie
ISBN-10 1-5265-1436-2 / 1526514362
ISBN-13 978-1-5265-1436-3 / 9781526514363
Zustand Neuware
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