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News And Insights

FINRA 2016 Regulatory and Examination Priorities

Each year, the Financial Industry Regulatory Authority (“FINRA”) publishes its Annual Regulatory and Examination Priorities

Guidelines on Cross-Selling

Under MiFID II, Article 24(11), when an investment service is offered with another service or

EBA: Report on Investment Firms and Prudential Requirements

There has long been a recognition within the industry that the prudential requirements of investment

Robo Advisers Present a New Set of Risks

The advent of automated retail advisers - Robo Advisers opens a new set of compliance

SEC Year End Obligations

Now that 2016 is firmly upon us, a number of United States regulatory filing deadlines

Market Abuse: Delegated Regulation

The European Commission has published a Delegated Regulation addressing further matters relating to Market Abuse