Objective
Introduction to the regulation and supervision of financial markets in the EU.
Key topics
- Overview of EU financial regulation and supervision
- EU financial lawmaking
- The European supervisory architecture (EBA, ESMA & EIOPA), the Single Supervisory Mechanism (SSM) and the role of the ECB
- Basel Capital Accords and the CRD/CRR bank capital adequacy requirements
- Bank crisis management: Single Resolution Mechanism (SRM), bank resolution and insolvency
- MiFID II/MiFIR and financial services regulation
- Market abuse regime, MAD/MAR
- Market transparency, prospectus requirements
- Climate finance: sustainable investments, ESG disclosure, green bonds, climate taxonomy
- Payments, clearing and settlement (PSD2, CBPR, EMIR, CSDR)
- FinTech, RegTech, SupTech, AI, cryptocurrencies and other virtual assets
Who should attend?
The course is aimed at legal practitioners seeking a comprehensive introduction to the regulation and supervision of financial markets in the EU, including national regulators/supervisors, in-house lawyers at credit institutions, investment firms, fund managers, depositaries, payments systems providers and other related financial institutions, and lawyers in private practice.
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