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Results: 1-10 of 12

ASIC makes key announcements on market structure, dark pools and high frequency trading

  • Clifford Chance LLP
  • -
  • Australia
  • -
  • December 4 2012

On 20 November 2012 the Australian Securities and Investments Commission (ASIC) announced a package of regulatory reforms targeted at the growth in high frequency trading, the use of dark pools and the use of automated order processing systems in Australias financial markets

International regulatory update 12 - 16 November 2012

  • Clifford Chance LLP
  • -
  • Australia, European Union, Singapore, Spain, United Kingdom, USA
  • -
  • November 19 2012

The European Commission has published a set of frequently asked questions on the regulation on OTC derivative transactions, central counterparties and trade repositories (EMIR), which was published in the Official Journal on 27 July 2012

ASX issues draft revised guidance note on continuous disclosure

  • Clifford Chance LLP
  • -
  • Australia
  • -
  • October 17 2012

The Australian Securities Exchange (ASX) issued a draft version of revised Guidance Note 8: Continuous Disclosure on 17 October 2012, and is seeking market feedback by the end of November 2012

International regulatory update

  • Clifford Chance LLP
  • -
  • Australia, Belgium, European Union, Germany, Malaysia, Singapore, United Kingdom
  • -
  • October 8 2012

The high-level expert group on reforming the structure of the EU banking sector, chaired by Erkki Liikanen, has presented its final report to the European Commission

International regulatory update 17-21 September 2012

  • Clifford Chance LLP
  • -
  • Australia, China, European Union, Global, Netherlands, Thailand, United Kingdom, USA
  • -
  • September 24 2012

Clifford Chance’s International Regulatory Update is a weekly digest of significantregulatory developments, drawing on our daily content from our Alerter: Finance Industry service

International regulatory update

  • Clifford Chance LLP
  • -
  • Australia, European Union, France, Germany, Global, Hong Kong, Italy, Luxembourg, Poland, United Kingdom
  • -
  • August 6 2012

The EBA, EIOPA and ESMA have published a press release confirming that the deadline for the submission of the joint regulatory technical standards covering risk mitigation techniques for OTC derivatives not cleared by central counterparties (CCPs) under the regulation on OTC derivatives and market infrastructures will be postponed

International regulatory update 21-25 November 2011

  • Clifford Chance LLP
  • -
  • Australia, Belgium, Czech Republic, European Union, Global, Hong Kong, Netherlands, United Kingdom, USA
  • -
  • November 28 2011

The Financial Markets Law Committee (FMLC) has published a paper responding to the UK government’s consultation paper entitled ‘A new approach to financial regulation: the blueprint for reform’, which was published in June 2011

International regulatory update 15-19 august 2011

  • Clifford Chance LLP
  • -
  • Australia, France, Global, India, Spain, United Kingdom, USA
  • -
  • August 22 2011

The Autorité des marchés financiersFinancial Markets Authority (AMF) has published two updates to its set of frequently asked questions in relation to the ban on creating a net short position or increasing any existing net short position, including intraday, in the equity shares or securities giving access to the capital of certain credit institutions and insurance companies

International regulatory update 1-5 August 2011

  • Clifford Chance LLP
  • -
  • Australia, European Union, Global, India, Philippines, Singapore, United Kingdom
  • -
  • August 8 2011

The IMF has concluded its Article IV consultation with the United Kingdom, which included a Financial System Stability Assessment under the IMF’s Financial Sector Assessment Program, analysing financial sector health and associated policies

International regulatory update

  • Clifford Chance LLP
  • -
  • Australia, European Union, Germany, Netherlands, Singapore, Switzerland, United Kingdom, USA
  • -
  • April 4 2011

The Ministry of Justice has published its final guidance under section 9 of the Bribery Act 2010 about procedures that relevant commercial organisations can put in place to prevent persons associated with them from bribing