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Financial Products Law





e-Presentations

May 2017

Expected Costs and Disruptions Associated with Brexit: the EU Perspective


Carlo Comporti


April 2017

MiFID II: What is Expected from Investment Advisers?


Markus Lange


April 2017

Investor Protection: Product Governance, Product Distribution, Product Intervention


Pierre-Henri Conac


April 2017

What is Expected from Investment Advisers under MiFID II? Transparency with the Client and Practical Changes in the Documentation


Eleftheria Apostolidou


April 2017

PRIIPS: KIDs and the Revised Regulatory Technical Standards


Daniela Gariboldi


April 2017

Investor Protection in the Context of the Amended Insurance Mediation Directive (IMD 2002) – now Insurance Distribution Directive (IDD 2016)


Prof. Dr. Christos Gortsos


March 2017

The Price of Stable Markets and Investor Confidence: an Overview of the Short and Long-term Effects of MiFID II


Martin Schulte


March 2017

Reporting under MiFID II: Exemptions and New Arrivals, Duplication and Client Reporting


Prof Christos Gortsos


March 2017

Compliance with MiFID II from the Industry Viewpoint


Ross Dawkins


December 2016

Brexit: opportunity or threat to the integration of financial supervision in Europe?


Carlo Comporti


December 2016

Macro-Prudential Supervision in the EU and the US


Rosa Lastra


December 2016

Review of the European Supervisory Authorities (ESAs): Strengthening Independence of Financial Supervisors at National Level


Konstantinos Botopoulos


September 2016

The Legal Framework and Case Law on Market Abuse in the Derivatives Market


David Kirk


November - 2012

November - 2012

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