The Burges Salmon blog

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Investment consultancy probe: FCA makes first market investigation referral to CMA

The FCA has referred the investment consultancy market to the CMA for an in-depth review. This is the first time the FCA has used its powers to make such a reference.
29 September 2017

Understanding the new Payment Services Regulations

We explain the background to the new Payment Services Regulations and consider how businesses can prepare for implementation.
12 September 2017

EBA consults on fintech and the future financial services landscape

The EBA’s discussion paper considers how fintech is changing financial services and the opportunities and risks this brings for the industry.
07 September 2017

Consumer credit: FCA consultation targets creditworthiness assessments

The FCA consultation distinguishes between two main areas of risk when assessing consumer credit: credit risk and affordability risk. We look at the proposed changes to creditworthiness assessments.
04 September 2017

Duty of care and regulatory compliance: no duty to customers for banks in FCA review

Ten years on from the financial crash, banks still face accusations that they mis-sold interest rate hedging products. Customers' options for challenging these sales and their reviews are narrowing.
30 August 2017

Investment platforms under FCA's competition spotlight

The FCA is launching a market study into investment platforms to assess potential competition issues, following the final report of its asset management market study.
09 August 2017

The FCA publishes report on new technologies and AML compliance

The FCA has published a report on emerging technologies and their adoption by the financial industry to tackle anti-money laundering (AML) requirements.
09 August 2017

Senior Managers Regime: FCA extends individual accountability regime

The FCA is now consulting on the extension of the Senior Managers and Certification Regime to the entire financial services sector. We outline the proposed core requirements below.
27 July 2017

PSD2 authorisation and reporting requirements: insight from the FCA and EBA

The FCA has revealed how it proposes to implement PSD2 changes to authorisation and reporting. In this article, we examine the FCA's approach and how it might change in light of the EBA's guidelines.
26 July 2017

A radical shake-up of the asset management sector – or something softer?

What are the FCA’s final findings and proposed package of remedies following its final report and consultation on competition in asset management?
30 June 2017

Financial services update: a view from Ireland

Conor Durkin and Liane Müllers from Mason Hayes & Curran, one of our Preferred Firms in Ireland, summarise the hot topics in retail investment funds and asset management in Ireland.
29 June 2017

MiFID II and NURS – the complex funds conundrum continues

The issue of whether non-UCITS retail schemes are to be automatically categorised as "complex" products under MiFID II remains to be resolved following ESMA's MiFID II Investor Protection Q&A.
26 June 2017
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