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William Fry | United Kingdom, European Union, Ireland | 12 Feb 2019

Asset Management & Investment Funds Update Feb 19

One of the eligibility criteria for EU UCITS, AIFs and MiFID firms which wish to delegate portfolio management to third country firms (which would be


Kramer Levin Naftalis & Frankel LLP | USA | 30 Jan 2019

Artificial Intelligence in Financial Services: Tips for Risk Management

Artificial intelligence (AI) solutions are increasingly popular among asset managers, because they accelerate decision-making through automation and


Cuatrecasas | Spain, European Union | 17 Dec 2018

Consideraciones sobre el informe de la CNMC en el sector Fintech

El término Fintech, en un sentido amplio, hace a referencia a la aplicación disruptiva de los nuevos avances en las tecnologías de la información y


Macfarlanes LLP | United Kingdom | 21 Nov 2018

Launch of FCA’s cost transparency initiative and templates

On 7 November 2018, the Financial Conduct Authority (FCA) launched the Cost Transparency Initiative (CTI). The CTI is an independent group working to


Walder Wyss | Switzerland | 24 Sep 2018

New prospectus regime under the Swiss Financial Services Act - 2018

On June 15, 2018, Swiss Parliament passed the last pieces of legislation of the overhaul of the Swiss financial regulatory framework, namely the


Timothy Loh LLP | Hong Kong | 7 Sep 2018

Tax Exemption for Open-Ended Fund Companies

Hong Kong’s new open-ended fund companies (“OFCs”) can qualify for exemption from profits tax in a number of ways including through the offshore funds


Slaughter and May | United Kingdom, European Union, Global | 12 Apr 2018

Financial Regulation Weekly Bulletin - 12 April 2018

A proposal for a Directive (COM(2018) 185) amending the Unfair Contract Terms Directive (9313EEC), the Price Indication Directive (986EC), the


Slaughter and May | United Kingdom, Global | 8 Mar 2018

Financial Regulation Weekly Bulletin - 8 March 2018

Following the conclusion by the Financial Conduct Authority of its enforcement investigations into the Cooperative Bank plc and related individuals


Reed Smith LLP | United Kingdom | 25 Jan 2018

Financial services in the spotlight with two investigations relating to: (1) asset management firms and (2) investment consultancy and fiduciary management firms

The Financial Conduct Authority (FCA) has issued Statement of Objections to the asset management firms: Artemis Investment


Dechert LLP | United Kingdom, European Union | 20 Sep 2017

Brexit: Impact on cross-border financial services contracts

The Association for Financial Markets in Europe (AFME) and UK Finance have published a paper addressed to policy makers that examines the impact of

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