Home > Search Results > Practitioner's Guide to MiFID II, A
EMAIL THIS PAGE TO A FRIEND
Email Page to a Colleague
(* Denotes required field)
* Colleague’s email address
 
 
* Your email address
 
 
* Subject
 
Message
The selected product information will be included in the email.
The email addresses you provide will not be used for any other purpose. You can view a detailed privacy statement here.
Your email has been sent.

Practitioner's Guide to MiFID II, A
Practitioner's Guide to MiFID II, A
3rd Edition
ISBN:  9780414065727
Published by:  Sweet & Maxwell
Consultant Editor:Jonathan Herbst
Publication Date:  28 Feb 2018
Format:  Hardback
PRODUCT INCLUDES:
Hardback
PRE-ORDER
£215.00
TOTAL:
Enter a promotion code if you have one. Note: discount applied at Checkout Review Section
Promotion code:
PRODUCT DESCRIPTION
A Practitioners Guide to MiFID II provides details about MiFID II and MiFIR and the changes they make to MiFID. It is designed to provide an overview of the key provisions of MiFID II and MiFIR and examines the UK’s implementation enabling financial services practitioners to navigate the complex new regime.

The new 3rd edition:
  • A complete practitioner’s guide detailing the provisions and impact of the Markets in Financial Instruments Directive (MiFID) II coming into force on 3rd January 2018. MiFID II includes a revised MiFID and a new Markets in Financial Instruments Regulation (MiFIR)
  • Provides an overview of the key regulatory provisions of MiFID II and MiFIR and their impact on the financial services industry
  • Reflects all the changes and extensions brought about by MiFID II 
  • How the revised directive will impact firms and how they need to prepare for its implementation on 3 January 2018
  • How MiFID II interacts with other European and UK level legislation
  • Examines the definition of commodity derivatives
  • Evaluates the organisational requirements placed on investment firms and credit institutions
  • Considers the general principles in relation to client information
  • Examines the provisions that set out requirements for third country investment firms wishing to do business in the EU
CONTENTS
  • Chapter 1. Introduction;
  • Chapter 2 Scope, Authorisation and Passporting;
  • Chapter 3 Clients and Client Classification; 
  • Chapter 4 Conduct of Business Standards – Organisational Requirements;
  • Chapter 5 Conduct of Business Standards - Fair Dealing with Clients;
  • Chapter 6 Best execution under MiFID II;
  • Chapter 7 Conduct of Business Standards - Information Requirements;
  • Chapter 8 Transparency, data consolidation and reporting;
  • Chapter 9 MiFID/MiFIR Trading Venues;
  • Chapter 10 Commodity Derivatives;
  • Chapter 11 Third country firms.
EDITORS & EDITORIAL BOARD
Consultant Editors: Jonathan Herbst and Simon Lovegrove, Norton Rose Fulbright LLP.
back to top
Must Haves