The MiFID II Framework: How the New Standards Are Reshaping the Investment Industry

Author:   Mario Comana ,  Daniele Previtali ,  Luca Bellardini
Publisher:   Springer Nature Switzerland AG
Edition:   1st ed. 2019
ISBN:  

9783030125066


Pages:   232
Publication Date:   28 October 2020
Format:   Paperback
Availability:   Manufactured on demand   Availability explained
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The MiFID II Framework: How the New Standards Are Reshaping the Investment Industry


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Author:   Mario Comana ,  Daniele Previtali ,  Luca Bellardini
Publisher:   Springer Nature Switzerland AG
Imprint:   Springer Nature Switzerland AG
Edition:   1st ed. 2019
Weight:   0.454kg
ISBN:  

9783030125066


ISBN 10:   3030125068
Pages:   232
Publication Date:   28 October 2020
Audience:   Professional and scholarly ,  Professional & Vocational
Format:   Paperback
Publisher's Status:   Active
Availability:   Manufactured on demand   Availability explained
We will order this item for you from a manufactured on demand supplier.

Table of Contents

Chapter 1: Introduction.- Chapter 2: Why the Package? Financial markets before and after the Crisis.- Chapter 3: Relevant changes from MiFID I.- Chapter 4: How exchanges work: Trading venues, algorithmic and high frequency transactions.- Chapter 5: Market infrastructure and transparency obligations.- Chapter 6: Investor protection.- Chapter 7: Transposing the Package: A cross-country view.- Chapter 8: Regulation meets business: The effects on the investment industry.- Chapter 9: Conclusions.

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Mario Comana is Full Professor of Banking and Financial Institutions at the Department of Business and Management, LUISS Guido Carli University, Rome, Italy. He has served as an Independent Director and Chairman of Board of Directors for various financial institutions and as a financial and strategic consultant. He is Chairman of OCM, the Italian Authority for the mutual credit guarantee institutions, having been appointed by the Italian Treasury Minister. He has published many books and scientific papers.  Daniele Previtali is assistant professor in Banking and Financial Markets at the Department of Business and Management, LUISS Guido Carli University, Rome, Italy. He holds a PhD in Banking and Finance from the University of Rome “Tor Vergata”. He has been a visiting PhD scholar at the Finance Department of the Stern School of Business. .  Luca Bellardini is a PhD student at the University of Rome “Tor Vergata” and holds a Master’s degree in Economics and Finance from LUISS Guido Carli University in Rome. His research interests are mainly rooted in banking and focus especially on asset quality, corporate governance, and prudential regulation of credit institutions. In 2014, he published a Financial Mathematics textbook.

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