Capital markets
Investment managers, acting on behalf of their retail and institutional clients, are among the largest investors in financial markets. They represent a key component of the market’s “buy-side” segment.
In representing the interests of its members on wholesale capital market issues, EFAMA advocates for fair, deep, liquid, and transparent capital markets, supported by properly regulated and supervised market infrastructure.
Related policy positions
Capital Markets
MIFID
Distribution & Client Disclosures
18 March 2020
EFAMA response to ESMA's CP on MiFIR report on Systematic Internalisers in non-equity instruments
Capital Markets
EMIR
MIFID
Distribution & Client Disclosures
17 March 2020
EFAMA Reply: ESMA CP on review report MiFIR transparency regime for equity, ETFs & other related instruments
Capital Markets
Benchmarks
20 December 2019
EFAMA's response to the EU Commission's public consultation on the review of the EU Benchmark regulation
Related news
Capital Markets
Benchmarks
Data
International agenda
09 June 2021
Key recommendations for fair benchmark data costs - EFAMA/ICSA Global Memo on Benchmark Data Costs
Capital Markets
CSDR
12 March 2021
Joint trade association letter regarding Implementation of CSDR SDR
On 11 March 2021, EFAMA and 14 trade associations representing a wide range of stakeholders in the European and global financial markets wrote to the European Commission and ESMA raising concerns about the implementation of the mandatory buy-in requirement under the EU’s CSDR Settlement Discipline Regime.
Capital Markets
CSDR
05 March 2021
3 questions to Agathi Pafili on CSDR
Q #1 What is the CSDR’s Settlement Discipline Regime (SDR) and what does it seek to achieve?
Related publications
Capital Markets
Distribution & Client Disclosures
EU Fund regulation
Management Companies
Pensions
Sustainable Finance
Tax & Accounting
30 June 2009
EFAMA Annual Report 2008
Capital Markets
Distribution & Client Disclosures
EU Fund regulation
Management Companies
Pensions
Tax & Accounting
30 May 2008
EFAMA Annual Report 2007
Contact
Senior Regulatory Policy Advisor