ESMA LIBRARY
REFINE YOUR SEARCH
Sections
- (-) Remove MiFID - Investor Protection filter MiFID - Investor Protection
- (-) Remove Benchmarks filter Benchmarks
- (-) Remove Securities and Markets Stakeholder Group filter Securities and Markets Stakeholder Group
- (-) Remove Securitisation filter Securitisation
- (-) Remove European Single Electronic Format filter European Single Electronic Format
- CESR Archive (371) Apply CESR Archive filter
- Corporate Disclosure (201) Apply Corporate Disclosure filter
- Post Trading (95) Apply Post Trading filter
- IAS Regulation (78) Apply IAS Regulation filter
- Joint Committee (60) Apply Joint Committee filter
- Fund Management (47) Apply Fund Management filter
- IFRS Supervisory Convergence (47) Apply IFRS Supervisory Convergence filter
- MiFID - Secondary Markets (44) Apply MiFID - Secondary Markets filter
- Risk Analysis & Economics - Markets Infrastructure Investors (34) Apply Risk Analysis & Economics - Markets Infrastructure Investors filter
- Supervisory convergence (32) Apply Supervisory convergence filter
- Credit Rating Agencies (24) Apply Credit Rating Agencies filter
- Prospectus (24) Apply Prospectus filter
- Market Abuse (21) Apply Market Abuse filter
- CCP Directorate (20) Apply CCP Directorate filter
- Sustainable finance (19) Apply Sustainable finance filter
- Audit (16) Apply Audit filter
- Guidelines and Technical standards (13) Apply Guidelines and Technical standards filter
- Corporate Information (11) Apply Corporate Information filter
- Market data (10) Apply Market data filter
- Market Integrity (10) Apply Market Integrity filter
- Corporate Finance (9) Apply Corporate Finance filter
- Innovation and Products (9) Apply Innovation and Products filter
- Securities Financing Transactions (9) Apply Securities Financing Transactions filter
- Transparency (9) Apply Transparency filter
- Short Selling (6) Apply Short Selling filter
- Trade Repositories (6) Apply Trade Repositories filter
- Trading (6) Apply Trading filter
- COVID-19 (4) Apply COVID-19 filter
- Board of Supervisors (3) Apply Board of Supervisors filter
- Corporate Governance (3) Apply Corporate Governance filter
- Brexit (2) Apply Brexit filter
- Crowdfunding (2) Apply Crowdfunding filter
- Press Releases (2) Apply Press Releases filter
- International cooperation (1) Apply International cooperation filter
- Management Board (1) Apply Management Board filter
Type of document
- (-) Remove Final Report filter Final Report
- (-) Remove Letter filter Letter
- (-) Remove Q&A filter Q&A
- Reference (169) Apply Reference filter
- SMSG Advice (89) Apply SMSG Advice filter
- Guidelines & Recommendations (82) Apply Guidelines & Recommendations filter
- Opinion (67) Apply Opinion filter
- Press Release (62) Apply Press Release filter
- Consultation Paper (47) Apply Consultation Paper filter
- Summary of Conclusions (42) Apply Summary of Conclusions filter
- Statement (33) Apply Statement filter
- Report (28) Apply Report filter
- Investor Warning (27) Apply Investor Warning filter
- Speech (25) Apply Speech filter
- Compliance table (12) Apply Compliance table filter
- Decision (6) Apply Decision filter
- Technical Advice (5) Apply Technical Advice filter
- Annual Report (3) Apply Annual Report filter
- Technical Standards (1) Apply Technical Standards filter
Date | Ref. | Title | Section | Type | Download | Info | Summary | Related Documents | Translated versions |
---|---|---|---|---|---|---|---|---|---|
03/05/2012 | 2012/SMSG/25 | Advice on the discussion paper on Proxy Advisors | Securities and Markets Stakeholder Group | Letter | PDF 236.57 KB |
||||
24/05/2012 | 2012/SMSG/27b | SMSG advice to ESMA on short selling | Securities and Markets Stakeholder Group | Letter | PDF 86.43 KB |
This document is an advice from the SMSG to ESMA's draft technical advice on possible Delegated Acts concerning the regulation on short selling and certain aspects of credit default swaps ((EC) No XX/2012)) | |||
24/05/2012 | 2012/SMSG/30 | ESMA’s Discussion paper on Key concepts of the AIFMD and types of AIFM – Opinion of the SMSG | Securities and Markets Stakeholder Group | Letter | PDF 59.17 KB |
This document is an advice from the SMSG to ESMA's discussion paper on Key concepts ofthe AIFMD and types of AIFM | |||
04/06/2012 | 2012/SMSG/29 | SMSG Advice on ESMA’s public consultation on Draft Technical Standards for the Regulation on OTC Derivatives, CCPs and Trade Repositories | Securities and Markets Stakeholder Group | Letter | PDF 112.88 KB |
||||
22/06/2012 | 2012/382 | MiFID Q&A in the area of investor protection and intermediaries | MiFID - Investor Protection | Q&A | PDF 319.78 KB |
||||
06/07/2012 | 2012/387 | Final report Guidelines on certain aspects of the MiFID suitability requirements | Guidelines and Technical standards, MiFID - Investor Protection | Final Report | PDF 444.15 KB |
||||
27/07/2012 | 2012/476 | Reply of ESMA to the European Commission’s Green Paper on Shadow Banking | MiFID - Investor Protection | Letter | PDF 175.94 KB |
||||
06/09/2012 | 2012/SMSG/58 | SMSG Advice on EMIR Draft (Regulatory) Technical Standards | Securities and Markets Stakeholder Group | Letter | PDF 235.22 KB |
||||
19/12/2012 | 2012/SMSG/69 | SMSG Advice on Guidelines on remuneration policies and practices (MiFID) | Securities and Markets Stakeholder Group | Letter | PDF 169.46 KB |
||||
05/03/2013 | 2013/SMSG/03 | SMSG Advice on Benchmarks/Indices | Securities and Markets Stakeholder Group, Benchmarks | Letter | PDF 253.23 KB |
||||
28/01/2014 | 2013/1941 | Letter to Jonathan Faull (EC) regarding draft technical standards | MiFID - Investor Protection, MiFID - Secondary Markets | Letter | PDF 44.25 KB |
||||
25/02/2015 | 2015/494 | Best Execution under MiFID | MiFID - Investor Protection, Supervisory convergence | Final Report | PDF 761.62 KB |
The European Securities and Markets Authority (ESMA) has conducted a peer review on how national regulators (national competent authorities or NCAs) supervise and enforce the MiFID provisions relating to investment firms’ obligation to provide best execution, or obtain the best possible result, for their clients when executing their orders. ESMA found that the level of implementation of best execution provisions, as well as the level of convergence of supervisory practices by NCAs, is relatively low. In order to address this situation a number of improvements were identified, including: • prioritisation of best execution as a key conduct of business supervisory issue; • the allocation of sufficient resources to best execution supervision; and • a more proactive supervisory approach to monitoring compliance with best execution requirements, both desk-based and onsite inspections. The review was conducted on the basis of information provided by 29 NCAs and complemented by on-site visits to the NCAs of France, Liechtenstein, Luxembourg, Malta, Poland and Spain. | |||
17/11/2015 | 2015/1513 | Letter SM to EC- implementation timeline MiFID MiFIR | MiFID - Investor Protection | Letter | PDF 85.8 KB |
||||
30/11/2015 | 2015/1783 | Final Report on complex debt instruments and structured deposits | MiFID - Investor Protection | Final Report | PDF 409.89 KB |
||||
17/12/2015 | 2015/1886 | Final report on guidelines for the assessment of knowledge and competence | MiFID - Investor Protection | Final Report | PDF 422.68 KB |
Reasons for publication 1. Article 25(1) of Directive 2014/65/EU (MiFID II) states that Member States shall require investment firms to ensure and demonstrate to competent authorities on request that natural persons giving investment advice or providing information about financial instruments, investment services or ancillary services to clients on behalf of the investment firm possess the necessary knowledge and competence to fulfil their obligations under Article 24 and Article 25 . 2. The European Securities and Markets Authority is required by Article 25(9) of MiFID II to develop – by 3 January 2016 - guidelines specifying criteria for the assessment of knowledge and competence of investment firms’ personnel. The guidelines will come into effect on 3 January 2017. 3. In accordance with Article 16(2) of the ESMA Regulation, a consultation was launched on 23 April 2015. The Consultation Paper (CP) set out draft ESMA guidelines for the assessment of knowledge and competence of individuals in investment firms providing investment advice or information about financial instruments, investment services or ancillary services to clients on behalf of the investment firm. The consultation period closed on 10 July 2015. 4. ESMA received 80 responses. The answers received on the CP are available on ESMA’s website unless respondents requested otherwise. 5. As provided by Article 16 of the ESMA Regulation, ESMA also sought the advice of the Securities and Markets Stakeholder Group’s (SMSG). 6. This paper contains summaries of responses received and feedback statements provided by ESMA. ESMA recommends that this report should be read together with the CP published on 23 April 2015 to have a complete understanding of the rationale for the guidelines. The final guidelines presented in Annex VI take into account the comments and suggestions raised by respondents. Contents 7. Section II briefly summarises the feedback to the CP and the main responses from ESMA. 8. Section III contains the Annexes: Annex I provides the Summary of questions, Annex II contains the legislative mandate, Annex III reports the cost-benefit analysis, Annex IV reports the Opinion of the Securities and Markets Stakeholder Group, Annex V details the feedback on the CP, Annex VI sets out the final text of the guidelines and Annex VII describes some illustrative examples of the application of certain aspects of the guidelines. Next Steps 9. The final guidelines in Annex VI will be translated into the official EU languages and published on the ESMA website. The publication of the translations will trigger a two-month period during which National Competent Authorities (NCAs) must notify ESMA whether they comply or intend to comply with the guidelines. |
|||
22/12/2015 | 2015/1861 | Final report- Guidelines on cross-selling practices | MiFID - Investor Protection | Final Report | PDF 389.42 KB |
||||
27/01/2016 | ESA/2016/07 | The cross-selling of financial products – ESA request to the European Commission | Joint Committee, MiFID - Investor Protection | Letter | PDF 90.04 KB |
||||
09/02/2016 | 2016/235 | Comment letter on Taxonomy due process | Corporate Disclosure, European Single Electronic Format, Transparency | Letter | PDF 84.24 KB |
||||
10/03/2016 | 2015/SMSG/028 | SMSG letter PRIIPs past performance | Securities and Markets Stakeholder Group | Letter | PDF 108.61 KB |
||||
07/04/2016 | 2016/584 | Suitability Peer Review- Final Report | MiFID - Investor Protection, Supervisory convergence | Final Report | PDF 459.35 KB |