ARTICLE
18 October 2012

European Securities And Markets Authority Publications

DB
De Brauw Blackstone Westbroek N.V.

Contributor

De Brauw Blackstone Westbroek is a leading international law firm, trusted by clients for over 150 years due to its deep engagement with their businesses and a clear understanding of their ambitions. While rooted in Dutch society, the firm offers global coverage through its network of top-tier law firms, ensuring seamless, tailored legal solutions. De Brauw’s independence enables it to choose the best partners while remaining a trusted, strategic advisor to clients worldwide.

The firm emphasizes long-term investment in both its client relationships and its people. De Brauw’s legal training institutes, De Brauwerij and The Brewery, cultivate diverse talent, preparing the next generation of top-tier lawyers through rigorous training and personal development. Senior leadership traditionally rises from within, maintaining the firm’s high standards and collaborative culture.

Links to European Securities and Markets Authority publications.
European Union Finance and Banking
  • 2013 Work programme (link)
  • Technical standards on the Regulation on OTC derivatives, central counterparties and trade repositories (link)
  • Questions and Answers on the implementation of the Regulation on short selling and certain aspects of credit default swaps (link). The Q&A include questions about the scope of the regulation, the date on which requirements to notify short positions become effective, calculation of net short positions, how supervisors deal with late notifications, rules for uncovered short sales, and sanctions for violation of the regulation
  • Update on measures adopted by competent authorities on short selling (link)
  • Publication of responses to the consultation on delegated acts under the Prospectus Directive (link)
  • Translations of the Guidelines on certain aspects of the MiFID suitability requirements and the Guidelines on certain aspects of the MiFID compliance function
  • Consultation on market maker and primary dealer exemption for short selling (link)
  • Consultation on remuneration guidelines for firms providing investment service (MiFID) (link)
  • Consultation on the application of the capital calculation methods for financial conglomerates (link)
  • Guidelines on ETFs and other UCITS issues. Consultation on recallability of repo and reverse repo arrangements (link)
  • Waivers from Pre-trade Transparency. CESR positions and ESMA opinions (link)
  • Protocol for Supervisory Cooperation in the field of anti-money laundering (link)

The content of this article is intended to provide a general guide to the subject matter. Specialist advice should be sought about your specific circumstances.

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