ESMA LIBRARY
REFINE YOUR SEARCH
Sections
- (-) Remove Post Trading filter Post Trading
- (-) Remove MiFID - Secondary Markets filter MiFID - Secondary Markets
- (-) Remove IFRS Supervisory Convergence filter IFRS Supervisory Convergence
- (-) Remove Guidelines and Technical standards filter Guidelines and Technical standards
- Corporate Information (174) Apply Corporate Information filter
- Board of Supervisors (154) Apply Board of Supervisors filter
- CESR Archive (103) Apply CESR Archive filter
- Management Board (96) Apply Management Board filter
- Securities and Markets Stakeholder Group (88) Apply Securities and Markets Stakeholder Group filter
- Joint Committee (86) Apply Joint Committee filter
- Planning reporting budget (57) Apply Planning reporting budget filter
- Fund Management (56) Apply Fund Management filter
- Risk Analysis & Economics - Markets Infrastructure Investors (51) Apply Risk Analysis & Economics - Markets Infrastructure Investors filter
- CCP Directorate (47) Apply CCP Directorate filter
- MiFID - Investor Protection (46) Apply MiFID - Investor Protection filter
- Credit Rating Agencies (42) Apply Credit Rating Agencies filter
- International cooperation (41) Apply International cooperation filter
- Warnings and publications for investors (38) Apply Warnings and publications for investors filter
- Corporate Disclosure (35) Apply Corporate Disclosure filter
- Securitisation (32) Apply Securitisation filter
- European Single Electronic Format (28) Apply European Single Electronic Format filter
- Innovation and Products (28) Apply Innovation and Products filter
- Sustainable finance (28) Apply Sustainable finance filter
- Benchmarks (21) Apply Benchmarks filter
- Supervisory convergence (20) Apply Supervisory convergence filter
- Market Abuse (19) Apply Market Abuse filter
- Procurement (18) Apply Procurement filter
- Trading (18) Apply Trading filter
- Market Integrity (16) Apply Market Integrity filter
- Corporate Finance (15) Apply Corporate Finance filter
- Trade Repositories (15) Apply Trade Repositories filter
- Careers (12) Apply Careers filter
- ESMA newsletter (12) Apply ESMA newsletter filter
- Transparency (11) Apply Transparency filter
- Prospectus (10) Apply Prospectus filter
- Short Selling (10) Apply Short Selling filter
- Securities Financing Transactions (9) Apply Securities Financing Transactions filter
- Market data (7) Apply Market data filter
- Press Releases (6) Apply Press Releases filter
- Brexit (5) Apply Brexit filter
- ITMG (4) Apply ITMG filter
- Board of Appeal (3) Apply Board of Appeal filter
- Corporate Governance (3) Apply Corporate Governance filter
- Speeches (3) Apply Speeches filter
- Vacancies (3) Apply Vacancies filter
- COVID-19 (2) Apply COVID-19 filter
- Crowdfunding (2) Apply Crowdfunding filter
- IAS Regulation (2) Apply IAS Regulation filter
- MiFID II: Transparency Calculations and DVC (2) Apply MiFID II: Transparency Calculations and DVC filter
- Audit (1) Apply Audit filter
Type of document
- (-) Remove Reference filter Reference
- (-) Remove Annual Report filter Annual Report
- (-) Remove Vacancy filter Vacancy
- Guidelines & Recommendations (571) Apply Guidelines & Recommendations filter
- Opinion (104) Apply Opinion filter
- Final Report (91) Apply Final Report filter
- Letter (89) Apply Letter filter
- Consultation Paper (86) Apply Consultation Paper filter
- Press Release (81) Apply Press Release filter
- Statement (67) Apply Statement filter
- Report (58) Apply Report filter
- Compliance table (48) Apply Compliance table filter
- Speech (28) Apply Speech filter
- Technical Advice (18) Apply Technical Advice filter
- Technical Standards (15) Apply Technical Standards filter
- Q&A (13) Apply Q&A filter
- Decision (3) Apply Decision filter
Date | Ref. | Title | Section | Type | Download | Info | Summary | Related Documents | Translated versions |
---|---|---|---|---|---|---|---|---|---|
20/06/2012 | 2012/378 | Operation of notifications of MiFID Article 41 suspensions and removals of financial instruments from trading | MiFID - Secondary Markets | Reference | PDF 353.3 KB |
This protocol has been created to ensure effective co-operation between Competent Authorities (CAs) with respect to their obligations under Article 41 of MiFID (Suspension and removal of in-struments from trading).The purpose of the notification obligations under Article 41 is to afford investors across all Mem-ber States the same level of protection regardless of where they trade. In order to achieve this outcome, a shared understanding of the different circumstances under which trading may be suspended in different Member States according to their national law and the expected course of action under Article 41 is helpful. To ensure trading is suspended or an instrument is removed from trading in an effective and timely way, an effective communication process is necessary.The protocol will be kept under review in light of practical experience. | |||
25/07/2012 | 2012/478 | ESMA MiFID database- description of webservice | MiFID - Secondary Markets | Reference | PDF 123.71 KB |
This document provides useful information for developers wanting to use the webservice provided in ESMA's MIFID databases. | |||
16/08/2012 | 2012/526 | Announcement of roundtable on materiality in financial reporting- 1 October 12 | IFRS Supervisory Convergence | Reference | PDF 100.21 KB |
||||
12/11/2012 | 2012/725 | European common enforcement priorities for 2012 financial statements | IFRS Supervisory Convergence | Reference | PDF 163.78 KB |
||||
24/05/2013 | request for technical advice | Request from the European Commission for ESMA’s technical advice on procedural rules for taking supervisory measures and imposing fines on trade repositories | Post Trading | Reference | PDF 626.54 KB |
||||
19/07/2013 | MOU ACER ESMA | MoU between ESMA and ACER concerning the consultation and cooperation regarding their regulatory responsibilities in relation to EU wholesale energy market | MiFID - Secondary Markets | Reference | PDF 207.61 KB |
||||
07/11/2013 | MARKT/G2/PSDM/bh (2013) 3663122 | EC letter to ESMA on reporting of ETDs | Post Trading | Reference | PDF 430.71 KB |
||||
29/11/2013 | 2013/998 DA | Retningslinjer for modellen til aftalememorandum om høring, samarbejde og informationsudveksling vedrørende tilsyn med AIFMD-enheder | Fund Management, Guidelines and Technical standards | Reference | PDF 241.03 KB |
||||
29/11/2013 | 2013/998 SL | Smernice o vzorcu memoranduma glede posvetovanja, sodelovanja in izmenjave informacij v zvezi z nadzorom subjektov iz direktive UAIS | Fund Management, Guidelines and Technical standards | Reference | PDF 246.77 KB |
||||
02/12/2013 | 2013/1792 | Call for expressions of interest regarding the establishment of the Consultative Working Group of the ESMA Market Data Reporting Working Group | MiFID - Secondary Markets | Reference | PDF 98.24 KB |
Deadline for applications is 3 January 2014. | |||
01/04/2014 | 2014/336 | Trade Repository Supervision Work Plan 2014 | Post Trading | Reference | PDF 111.34 KB |
The European Securities and Markets Authority (ESMA) is publishing a summary of its 2014 supervisory work plan in relation to trade repositories (TRs) with the aim of enhancing the transparency of its actions regarding TRs in the European Union. TRs centrally collect and maintain the records of derivative trades and play a central role in enhancing the transparency of derivative markets and reducing risks to financial stability. In November 2013, ESMA registered six TRs. The obligation for counterparties to report their derivative trades to registered TRs began on 12 February 2014. Under Titles VI and VII of Regulation EU 648/2012 (EMIR), the direct supervision of TRs has been entrusted to ESMA, who has started to supervise the six registered TRs. Supervision of TRs by ESMA is crucial to ensuring that TRs comply on an on-going basis with all EMIR requirements, thereby enabling regulators to access data and details of derivative contracts in order for them to fulfil their respective mandates. |
|||
18/06/2014 | 2014/639 | Call for expressions of interest regarding the renewal of the Consultative Working Group of the ESMA Secondary Markets Standing Committee | MiFID - Secondary Markets | Reference | PDF 131.06 KB |
The European Securities and Markets Authority (ESMA) is looking to newly constitute a Consultative Working Group (CWG) for the ESMA Secondary Markets Standing Committee (SMSC) as the two-year-term of the existing CWG has recently expired. ESMA is therefore calling for expressions of interest from stakeholders to become a member of the CWG by 13 July 2014. The application form should be accompanied by a CV. The model European CV is recommended.It is optional for applicants, though recommended, to attach a letter of motivation. | |||
08/08/2014 | 2014/869 nl | Richtsnoeren voor rapportageverplichtingen uit hoofde van artikel 3, lid 3, onder d), en artikel 24, leden 1, 2 en 4, van de AIFMD | Guidelines and Technical standards | Reference | PDF 740.75 KB |
||||
08/08/2014 | 2014/869 ES | Directrices sobre las obligaciones de información de los artículos 3(3)(d) y 24(1), (2y (4) de la DGFIA | Guidelines and Technical standards | Reference | PDF 727.22 KB |
||||
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. |
|||
06/11/2014 | 2014/1334 | MiFID database- Contact emails of national competent authorities for market participants [updated] | MiFID - Secondary Markets | Reference | PDF 138.29 KB |
ESMA has established a list of national contacts, to which questions pertaining to the content of specific entries should be sent. Please use this list to contact the relevant competent authority if you a have a query regarding shares which have been included in or ex-cluded from the list, the calculations for a specific entry or its status as liquid/not liquid. |
|||
07/11/2014 | ODRG 7/11/14 | Report of the OTC Derivatives Regulators Group (ODRG) to G20 Leaders on Cross-Border Implementation Issues | Post Trading | Reference | PDF 460.72 KB |
||||
19/12/2014 | EC 18/12/2014 annex | Letter from European Commission- Annex with Amended draft RTS on clearing obligation for IRS | Post Trading | Reference | PDF 74.34 KB |
||||
16/02/2015 | 2015/280 | ESMA supervision of Credit Rating Agencies and Trade Repositories | Corporate Information, Credit Rating Agencies, Post Trading | Annual Report | PDF 891.95 KB |
This document reports on the direct supervisory activities carried out by ESMA during 2014 regarding credit rating agencies (CRAs) and trade repositories (TRs) within the European Union (EU). It sets out ESMAs key areas of action during 2014 and outlines ESMA’s main priorities for 2015. | |||
24/02/2015 | MOC ESMA JFSA | MoC ESMA and JFSA regarding CCPs | Post Trading | Reference | PDF 763.57 KB |