To read the Digest online, click here.
This week's issue addresses the following topics:
- FINRA Issues Guidance on FOCUS Reporting for Operating Leases
- FINRA Reminds Firms of Obligations Under Rule 15c2-11(a)(4)
- Banking Regulators Adopt Swap Margin Safe Harbor
- CFTC Announces Global Markets Advisory Committee Meeting
- CFTC Announces Energy and Environmental Markets Advisory Committee Meeting
- House of Lords Bribery Act 2010 Committee Publishes Post-Legislative Scrutiny
- ECB Announces Euro Short-Term Rate Start Date and Recommendations on Transition From EONIA
- ESMA Extends Its Register of Derivatives to be Traded On-Venue Under MiFIR
- ESMA Publishes Statement on the Impact on the MiFIR Trading Obligation for Shares; the FCA Responds
- ESMA Announces Results of MiFID II Annual Calculations of LIS and SSTI Thresholds for Bonds