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Reset all filtersRisk Analysis & Economics - Markets Infrastructure Investors
ESMA sees continued high market risk amid deteriorating economic fundamentals
28 November 2019
high, against the background of a deteriorating growth outlook, continued uncertainty around Brexit ... as uncertainty around the Brexit timeline remain key risk drivers. ...
Joint Committee
Risk Analysis & Economics - Markets Infrastructure Investors
EU financial regulators highlight risks of a no-deal Brexit and search for yield
12 September 2019
uncertainties, especially those around Brexit, supervisory vigilance and cooperation across all sectors remains ... the case of a no-deal Brexit. Considering the variety of measures undertaken by the ESAs and national ...
Risk Analysis & Economics - Markets Infrastructure Investors
ESMA – Investors face increasing risks amid renewed market volatility
10 September 2019
and concerns over a no-deal Brexit remain key risk drivers for the second half of 2019. Investors ...
Risk Analysis & Economics - Markets Infrastructure Investors
ESMA says market risk remains high but stable
15 May 2019
exit from the EU mitigated key no-deal Brexit risks in the short term, uncertainty about the terms ... global trade tensions, uncertainty surrounding the outcome of Brexit and the fading expectations ...
Joint Committee
Risk Analysis & Economics - Markets Infrastructure Investors
EU financial regulators highlight risks of a no-deal Brexit and asset price volatility
02 April 2019
the materialisation of a no-deal Brexit scenario. In light of the ongoing uncertainties, especially those around ... Brexit, supervisory vigilance and cooperation across all sectors remains key. Therefore, the ESAs calls ... withdrawal from the European Union, including possible market volatility a no-deal Brexit may trigger. ...
Risk Analysis & Economics - Markets Infrastructure Investors
ESMA TRV: Political uncertainty amid growth slowdown weighs on market sentiment
28 February 2019
to Brexit, amid weakening growth prospects, global trade tensions, and reduced global monetary policy ... uncertainty, with concerns over a no-deal Brexit weighing on economic and market expectations. Areas of focus ...
Brexit
MiFID - Investor Protection
Supervisory convergence
ESMA publishes supervisory briefing on the supervision of non-EU branches of EU firms
06 February 2019
Brexit MiFID- Investor Protection Supervisory convergence The European Securities and Markets ...
Brexit
Corporate Disclosure
Corporate Finance
Prospectus
Supervisory convergence
Transparency
ESMA Q&As clarify prospectus and transparency rules in case of no-deal Brexit
31 January 2019
Brexit Corporate Disclosure Corporate Finance Prospectus Supervisory convergence Transparency ... 29 March 2019 with no withdrawal agreement in place (no-deal Brexit). These Q&As will only apply ... in case of a no-deal Brexit. The Q&As provide the following clarifications in the event ...
Brexit
MiFID - Investor Protection
ESMA tells firms to provide clients with information on the implications of Brexit
19 December 2018
Brexit MiFID- Investor Protection The European Securities and Markets Authority (ESMA) has issued ... Union (EU) on their relationship with clients and on the impact of Brexit-related measures that a firm ... Brexit should ensure that they provide clear information to clients whose contracts and services may be ...
Risk Analysis & Economics - Markets Infrastructure Investors
ESMA sees rising market nervousness and sensitivity linked to Brexit risks
29 November 2018
risk. Going forward, ESMA sees concerns over a potential no-deal Brexit increasingly weighing on ... economic and market expectations. Risks to business operations from Brexit as well as from cyber threats ...
Risk Analysis & Economics - Markets Infrastructure Investors
Volatility spikes underline fragilities and risks to EU securities markets and investors
06 September 2018
Report (No 2, 2018). ESMA also re-iterated its concerns about cyber risk and Brexit risks for business ... The outcome of the Brexit negotiations remains at this stage the most important political risk for the EU; ... continues to be elevated with negative outlook, as cyber threats and Brexit-related risks to business ...
Risk Analysis & Economics - Markets Infrastructure Investors
ESMA 1Q18 RISK DASHBOARD SEES COMPLEX PRODUCTS AND VOLATILITY AS KEY RISKS
06 June 2018
at high. Operational risk continues to be elevated, with a deteriorating outlook, as Brexit ...
Risk Analysis & Economics - Markets Infrastructure Investors
EU financial regulators warn against risks for EU financial markets, Brexit, asset repricing and cyber-attacks key risks
12 April 2018
uncertainties, especially those around Brexit, supervisory vigilance and cooperation across all sectors remains ... the future asset managers; Brexit: the ESAs recommend EU financial institutions and their counterparties, as ...
Brexit
Fund Management
MiFID - Investor Protection
Supervisory convergence
Steven Maijoor on CMU, Brexit and ESA review – What’s next?
21 March 2018
Brexit Fund Management MiFID- Investor Protection Supervisory convergence Steven Maijoor, ESMA ... March. His remarks focused on issues related to: Brexit and the issue around ESMA's work on ...
Risk Analysis & Economics - Markets Infrastructure Investors
High risks persist for European securities markets and investors, ESMA says
20 March 2018
as around the current Brexit negotiations; and Credit risk has eased in relation to an improving ...
Press Releases
Risk Analysis & Economics - Markets Infrastructure Investors
ESMA sees valuation risk at highest levels due to financial weakness and geopolitical uncertainty
12 September 2017
valuations; and prevailing geo-political and political uncertainties. Brexit-related uncertainties remain ...
Risk Analysis & Economics - Markets Infrastructure Investors
ESMA issues risk dashboard for first quarter of 2017
14 June 2017
the Brexit negotiations and the election calendar in the EU, as the most important potential sources of risk ...