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Searching Content indexed under Debt Capital Markets by CMS Cameron McKenna Nabarro Olswang LLP ordered by Published Date Descending.
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Banking, Capital Markets And FIS - Legislative News Flash (24 September 2012)
On 22 September 2012, Commission Regulation no. 862/2012 ("Regulation 862") amending the Prospectus Regulation no. 809/2004 was published in the European Union Official Journal no. L256.
UK
25 Sep 2012
2
Green Investment Bank part of Growth Strategy for Infrastructure
The Government is looking to the private sector to invest four-fifths of the £40-50 billion per year needed to develop the infrastructure for growth and will use Infrastructure UK and the Green Investment Bank to help create the right conditions for that investment.
UK
28 Jul 2010
3
The New Listing Regime
The FSA plans to introduce a new two-tier listing regime from 6 April 2010 for companies wishing to list in London.
UK
5 Jan 2010
4
OTC Derivatives Reform In Europe
Over-the-counter ("OTC") derivatives contracts have long been viewed as the domain of sophisticated professional investors such as large corporate entities, institutional investors and financial institutions.
European Union
11 Dec 2009
5
SDRT In Clearance Systems: Do You Have A Right To Reclaim Overpaid Tax?
Earlier this year, we reported that the ECJ was considering whether the UK’s stamp duty reserve tax ("SDRT") rules that levy a tax charge of 1.5% on the issue or transfer of shares into a clearance service breach EU law .
UK
19 Oct 2009
6
Reforming The Approved Persons Regime: Analysis Of FSA´s August Consultation Paper
FSA published its latest consultation paper on 31 August: CP06/15*** - Reforming the Approved Persons regime.
UK
21 Sep 2006
7
Mining, oil and gas companies traded on AIM - new requirements
On 16 March the London Stock Exchange (LSE) published guidance for companies involved in exploration, development or production of mining, oil and gas resources.
UK
21 Mar 2006
8
Competition Commission publishes final report on store cards
On Wednesday the Competition Commission (CC) published its final report on store cards and the sale of related PPI.
UK
13 Mar 2006
9
Dealings in derivatives and options – changes to the Takeover Code
On 7 November Rule 8 of the Takeover Code was amended to require certain dealings in options and derivatives related to target shares to be disclosed to the market in the same way as dealings in actual shares.
UK
15 Nov 2005
10
FSA update on payment protection insurance
FSA have today released a report which warns the financial services industry to address urgently serious concerns it has relating to the sale of payment protection insurance (PPI).
UK
8 Nov 2005
11
The Market Reform Group publishes ‘Contract Certainty Code of Practice’
FSA regulation of "contract certainty" is a critical issue for insurers and authorised insurance intermediaries. Market processes are being restructured whilst individual firms are conducting internal projects to meet FSA's standards, and awaiting FSA's decision on whether to impose additional regulation.
UK
24 Oct 2005
12
FSA Annual Public Meeting
The FSA held its sixth Annual Public Meeting on Thursday 21 July. Callum McCarthy, the Chairman of the Financial Services Authority, gave the opening speech.
UK
4 Aug 2005
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