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Date | Ref. | Title | Section | Type | Download | Info | Summary | Related Documents | Translated versions |
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20/06/2017 | WP12017 | ESMA working paper on collateral scarcity premia in Euro area repo markets | Risk Analysis & Economics - Markets Infrastructure Investors | Reference | PDF 1.01 MB |
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01/12/2016 | RD 2016/04 | ESMA Risk Dashboard No. 4 2016 | Risk Analysis & Economics - Markets Infrastructure Investors | Reference | PDF 848.82 KB |
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04/01/2022 | JC 2021 57 | Mandate of the Joint Committee of the European Supervisory Authorities’ Sub- Committee on Cross Sectoral Developments, Risks and Vulnerabilities (Risk Sub-Committee) | Joint Committee, Risk Analysis & Economics - Markets Infrastructure Investors | Reference | PDF 89.31 KB |
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22/03/2019 | esma_50-158-1567 | Presentation on short-termism | Risk Analysis & Economics - Markets Infrastructure Investors | Reference | PDF 152.78 KB |
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19/06/2019 | ESMA74-362-27 | Keynote by ESMA Chair at Eurofiling – European Central Bank conference | European Single Electronic Format | Speech | PDF 250.93 KB |
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08/10/2021 | ESMA74-362-2159 | ESMA as a data driven regulator and supervisor- AFME 5th Annual European Compliance and Legal Virtual Conference | Market data, MiFID - Secondary Markets, MiFID II: Transparency Calculations and DVC, Post Trading, Risk Analysis & Economics - Markets Infrastructure Investors, Securitisation, Speeches, Supervisory convergence, Trade Repositories, Transparency | Speech | PDF 167.18 KB |
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26/02/2019 | ESMA71-99-1120 | Keynote by Steven Maijoor- Crypto-Assets: time to deliver | Risk Analysis & Economics - Markets Infrastructure Investors | Speech | PDF 123.46 KB |
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10/01/2019 | ESMA71-99-1081 | Press release- ESMA report finds investment product performance highly impacted by charges | MiFID - Investor Protection, Risk Analysis & Economics - Markets Infrastructure Investors | Annual Report | PDF 159.37 KB |
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03/04/2019 | ESMA71-319-93 | Steven Maijoor Keynote speech- BETTER FINANCE 10th Anniversary 2019 | Fund Management, MiFID - Investor Protection, Risk Analysis & Economics - Markets Infrastructure Investors, Speeches | Speech | PDF 165.49 KB |
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28/09/2021 | ESMA50-167-2758 AF | Application form- CEMA GEA renewal 2021 | Risk Analysis & Economics - Markets Infrastructure Investors | Reference | DOCX 36.39 KB |
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28/09/2021 | ESMA50-167-2758 | Call for expressions of interest: Group of Economic Advisers for ESMA’s Committee for Economic and Markets Analysis | Risk Analysis & Economics - Markets Infrastructure Investors | Reference | PDF 164.28 KB |
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10/09/2019 | ESMA50-165-884 | ESMA Risk Dashboard No. 3 2019 | Risk Analysis & Economics - Markets Infrastructure Investors | Reference | PDF 618.93 KB |
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10/09/2019 | ESMA50-165-875 | ESMA report on trends, risks and vulnerabilities no.2 2019- statistical annex | Risk Analysis & Economics - Markets Infrastructure Investors | Reference | PDF 1.39 MB |
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10/01/2019 | ESMA50-165-731 | ESMA annual statistical report on performance and costs of retail investment products in the EU | MiFID - Investor Protection, Risk Analysis & Economics - Markets Infrastructure Investors | Annual Report | PDF 3.43 MB |
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06/11/2017 | ESMA50-165-422 | The impact of charges on mutual fund returns- correction | Fund Management, Joint Committee, Risk Analysis & Economics - Markets Infrastructure Investors | Reference | PDF 590.09 KB |
ERRATUM - In the original version of this document published on 19 October 2017 in table V.3 on page 4, the values in the last four rows of column five were accidentally misreported. For this reason, ESMA now provides a corrected version, including the corrected values and a footnote pointing to the initial mistake. ESMA carried out a first analysis on fund performance measures, developing initial metrics to analyse the impact of ongoing fees, one-off charges and inflation on the returns of mutual funds. Key preliminary results for the EU fund industry show: Substantial reduction in net returns available to investors, especially in the retail sector and weakly cost- or price-sensitive investment decisions by retail investors On average ongoing fees and one-off charges and inflation-reduced returns available to investors by 29% of gross returns between 2013 and 2015. These reductions apply to all market segments, while varying across jurisdictions, asset classes and client types. Relative return reductions range from 11% for passive equity fund shares to 44% for retail fund shares in bond mutual funds. Relative and absolute return reductions for actively managed and retail fund shares tend to exceed those of passively managed and institutional fund shares. Despite the impact of fees and charges on the net outcome to investors, these do not seem to be reflected in investor choices. |
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19/10/2017 | ESMA50-165-421 | EU derivatives markets ─ a first-time overview | MiFID - Secondary Markets, Post Trading, Risk Analysis & Economics - Markets Infrastructure Investors, Trade Repositories | Reference | PDF 477.35 KB |
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20/03/2017 | ESMA50-165-287 | ESMA Risk Dashboard No. 1, 2017 | Risk Analysis & Economics - Markets Infrastructure Investors | Reference | PDF 923.68 KB |
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18/05/2022 | ESMA50-165-2096 | Leverage and derivatives – the case of Archegos | Risk Analysis & Economics - Markets Infrastructure Investors, Trading | Reference | PDF 264.1 KB |
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15/02/2022 | ESMA50-165-2063 | Monitoring environmental risks in EU financial markets | Risk Analysis & Economics - Markets Infrastructure Investors, Sustainable finance | Reference | PDF 268.25 KB |
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15/02/2022 | ESMA50-165-2061 | ESMA report on trends, risks and vulnerabilities No.1 2022- Statistical annex | Market data, Risk Analysis & Economics - Markets Infrastructure Investors | Reference | PDF 1.59 MB |