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Date | Ref. | Title | Section | Type | Download | Info | Summary | Related Documents | Translated versions |
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19/11/2004 | 04-614 | Work plan for future work on MiFID | CESR Archive | Reference | PDF 53.83 KB |
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25/08/2014 | JC/2014/43 lt | Vertybinių popierių (ESMA) ir bankų (EBI) sektorių skundų nagrinėjimo gairės | Guidelines and Technical standards, Joint Committee | Reference | PDF 153.6 KB |
The European Securities and Markets Authority (ESMA) and the European Banking Authority (EBA) published today their Joint Committee final Report on guidelines for handling consumer complaints in the securities and banking sectors. The document aims to increase market confidence and for the benefit of consumers and firms alike it will ensure a harmonised approach to handling complaints for all 28 EU Member States and across all financial services sectors.The final report published today is part of the efforts of the European Supervisory Authorities to bring further supervisory convergence across the securities and banking sectors. It was developed on the basis of the existing complaints-handling guidelines established by EIOPA (the European Insurance and Occupational Pensions Authority) for the insurance sector. The report was launched for a public consultation last year and this final version takes into consideration the feedback received.ESMA and the EBA consider that these guidelines will ensure a consistent approach to complaints-handling across the EU. Consumers can purchase financial services and products in the investment, banking and insurance sectors across the entire EU Single Market and these guidelines will allow them to refer to a single set of complaints-handling arrangements. EU consumers will therefore be able to rely on the same approach irrespective of what type of product they have purchased and where they have purchased it.In addition to strengthening consumer protection -a key statutory objective for ESMA and for the EBA-, the guidelines will also allow firms, some of which sell products from more than one sector across the EU, to streamline and standardise their own complaints-handling arrangements. National regulators too will be able to supervise the same harmonised requirements across all sectors of financial services in their own jurisdictions.The guidelines will be translated into the official languages of the European Union (EU) and they will become applicable two months after the date of publication of their translations. |
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24/08/2007 | VDP | VDP response | CESR Archive | Reference | PDF 129.3 KB |
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11/03/2013 | 2013/280 | Vacancy notice- Chair of Committee drafting a proxy advising industry Code of Conduct | Corporate Finance, Corporate Governance | Reference | PDF 102.91 KB |
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21/05/2008 | 08-316 | Use of the Criteria defined in Article 22 of the Commission Regulation (EC) No 1287/2006 to determine liquid shares | CESR Archive | Reference | PDF 87.19 KB |
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28/09/2015 | 2015/1468 | Trading venue briefing | MiFID - Secondary Markets, Press Releases | Reference | PDF 304.63 KB |
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04/04/2016 | 2016/227 | ToR SMSC | MiFID - Secondary Markets | Reference | PDF 143.74 KB |
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04/04/2016 | 2016/221 | ToR MDSC | MiFID - Secondary Markets | Reference | |||||
11/02/2016 | 2016/211 | ToR CFSC | Corporate Finance | Reference | PDF 142.36 KB |
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11/02/2016 | 2016/210 | ToR CDTF | MiFID - Secondary Markets | Reference | PDF 134.83 KB |
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30/10/2003 | 03-378b | The role of CESR in the regulation and supervision of UCITS and asset management in the EU | CESR Archive | Reference | PDF 123.55 KB |
CESR publishes today a consultation paper setting out how it proposes to prepare for its new role in the regulation of Asset Management and Unit Collective Investment Schemes (UCITS) in Europe. This also includes establishing how European securities regulators will work until these responsibilities are transferred from the UCITS Contact Committee established by the European Commission to CESR and includes specific areas where CESR proposes to begin work. CESR sets out the three principles that will underpin its work in this area until it formally receives responsibility for providing advice to the Commission for portfolio management activities from the European Union. These principles include the commitment that: Any future work done by CESR regarding UCITS would have to be conducted in full coherence with the EU institutional framework; CESR should take in a global vision of the so-called | |||
28/10/2004 | 04-527b | The role of CESR at Level 3 under the Lamfalussy Process | CESR Archive | Reference | PDF 233.17 KB |
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07/11/2007 | 07-306 | The European Single market in securities in 2006: A factbook on Markets and Supervision | CESR Archive | Reference | PDF 2.39 MB |
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04/06/2004 | 04-241 final | Terms of reference for the cooperation and collaboration regarding market risks and regulatory projects between the US SEC and CESR | CESR Archive | Reference | PDF 48.19 KB |
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02/08/2006 | 06-117b | Terms of reference for CESR-Fin | CESR Archive | Reference | PDF 100.14 KB |
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19/12/2017 | ESMA70-156-185 | Template for reporting circuit breakers parameters to ESMA | MiFID - Secondary Markets | Reference | XLSX 41.46 KB |
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01/07/2022 | ESMA41-140-79 | Technical standards | Corporate Information, Guidelines and Technical standards | Reference | XLSX 173.59 KB |
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04/03/2004 | 03-427b | Synthesis Table” regarding CESR Standards for Investor Protection (49 pages) | CESR Archive | Reference | PDF 1.33 MB |
The so-called | |||
04/03/2004 | 03-432b | Synthesis Table” regarding CESR Standards for Alternative Trading Systems | CESR Archive | Reference | PDF 153.77 KB |
The so-called | |||
30/11/2006 | 06-260 | Survey on the role of securities regulators in auditor oversight of public listed companies, and on their powers in relation to auditors of these companies | CESR Archive | Reference | PDF 114 KB |