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UK Regulators Publish Policy Statement on Margin Requirements for Non-Centrally Cleared Derivatives | Katten Muchin Rosenman LLP

On 18 December 2023, the Financial Conduct Authority (FCA) and Prudential Regulation Authority (PRA) (together, the Regulators) published a joint policy statement (Policy Statement) on...
United Kingdom Prudential Regulation Authority Financial Conduct Authority Policy Statement European Market Infrastructure Regulation Binding Technical Standards

Bank of America : ML UK Capital Holdings Limited - Including Merrill Lynch International June 30, 2023 Interim Report -October 05, 2023 at 12:16 pm EDT

This document contains certain Pillar 3 disclosures for the quarter ended 30 June 2023 of ML UK Capital Holdings Limited , its sole operating subsidiary Merrill Lynch International ...
United Arab Emirates United Kingdom United States Charles Peters International Financial Reporting Standards Merrill Lynch International Pillar

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Upcoming Regulatory Initiatives Impacting Private Fund Managers - UK Regulatory Initiatives | Dechert LLP

Financial Services Act - The UKโ€™s departure from the EU at the end of the transition period has significant implications for the regulation of financial institutions. In June 2020, the...
United Kingdom Onpoint Brexit European Union Withdrawal United Kingdom Qualifying Asset Holding Companies Office For Professional Body Commission Delegated Regulation

Securities and markets regulatory news, April 2021 # 3 | Hogan Lovells

Recent UK and EU regulatory developments of interest to financial institutions and markets. Contents: UK Money Markets Code updated by BoE UK Listing Review: government response UK EMIR: trade association letter on use of EEA UCITS as collateral MiFID: European Commission adopts Delegated Regulation correcting MiFID Delegated Regulation (EU) 2017/565 EMIR and SFTR: ESMA reports on quality of data published LIBOR transition: FMSB case studies for conduct risk in back book transition Recognised A...
United Kingdom Investment Management Association Law Commission European Parliament Prudential Regulation Authority European Commission

Financial institutions general regulatory news, January 2021 | Hogan Lovells

a multilateral MoU with EU and EEA NCAs covering supervisory cooperation, enforcement and information exchange between UK and EU/EEA national supervisors in the field of insurance regulation and supervision; an MoU with the European Insurance and Occupational Pensions Authority (EIOPA) covering information exchange and mutual assistance between the UK authorities and EIOPA in the field of insurance regulation and supervision; an MoU with the European Banking Authority (EBA) covering information...
United Kingdom Hogan Lovells Building Society Accounts Department For Digital European Parliament European Union Future Relationship

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