The impact of MiFID 2. and MiFIR in Italy and the post Brexit United Kingdom: a critical analysis

Bellardini, Luca (A.A. 2016/2017) The impact of MiFID 2. and MiFIR in Italy and the post Brexit United Kingdom: a critical analysis. Tesi di Laurea in Market law and regulation, LUISS Guido Carli, relatore Paola Lucantoni, pp. 296. [Master's Degree Thesis]

Full text for this thesis not available from the repository.

Abstract/Index

Overview of the themes. What is new with the MiFID II/MiFIR package. The scope and the iter of the package. The post-crisis landscape of financial markets, as depicted in the recitals. What the package wants: mitigating risks, levelling the playing field. What Brexit means: extra-EU models and the issue of passporting. Issues in MiFID II and its implementation in Italy and the U.K. How exchanges work: venues, algorithmic and high-frequency trading. Market infrastructure: pre- and post-trade issues. Enhancing transparency: a wide framework for an essential goal. From client categorisation to best execution: the investor-protective framework. Issues in MiFIR and the challenges of Brexit for the U.K. Brexit and the package: an overview of the divorce-related issues. Transparency, reporting and derivatives between deregulation and common sense. Free access to trading and the role of supervisory authorities. How the package has been transposed into domestic legislations: Italy vs. the U.K.

References

Bibliografia e sitografia: pp. 268-271.

Thesis Type: Master's Degree Thesis
Institution: LUISS Guido Carli
Degree Program: Master's Degree Programs > Master's Degree Program in Economics and Finance (LM-56)
Chair: Market law and regulation
Thesis Supervisor: Lucantoni, Paola
Thesis Co-Supervisor: Pellegrini, Mirella
Academic Year: 2016/2017
Session: Autumn
Deposited by: Alessandro Perfetti
Date Deposited: 15 May 2018 17:09
Last Modified: 29 Jan 2019 08:37
URI: https://tesi.luiss.it/id/eprint/21002

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