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Event Date | Tue Apr 4 EDT (over 7 years ago) |
Location | New York, NY, United States |
Region | Americas |
The revision of the European Union’s Markets in Financial Instruments Directive (MiFID II) is expected to go into effect in January 2018. This rule will significantly change the way broker dealers and asset managers comply with cross-border business requirements in Europe – especially in the area of payment for research.
Speakers for 2017
Kenneth E. Bentsen, Jr.
President & CEO
SIFMA
Will Dennis
Managing Director, Compliance
AFME
Philippe Guillot
Executive Director, Markets Directorate
AMF France
Michael Parslow
Director, EMEA Commission Management
Credit Suisse Securities Europe Limited
William J.G. Yonge
Partner
Morgan, Lewis & Bockius LLP
Steve W. Stone
Partner
Morgan, Lewis & Bockius LLP
Gerard S. Citera
Managing Director & Associate General Counsel
J.P. Morgan Securities LLC
Steve Haggerty
Deputy Director of Global Research
Bank of America Merrill Lynch
Vanessa M. Meeks
Senior Counsel, Division of Investment Management
U.S. Securities and Exchange Commission
Pamela Torres
General Counsel, Global Investment Research Division
Goldman, Sachs & Co.
Hermann Beythan
Investment Management Partner
Linklaters
Daniel Barry
Vice President, Associate General Counsel
Fidelity Investments
Ethan D. Corey
Senior Vice President & Associate General Counsel
MFS Investment Management
Christine Morgan
Vice President
T. Rowe Price Associates, Inc.
Michael Triessl
Senior Vice President and Senior Counsel
Capital Research and Management Company
Sponsors for 2017
Platinum Sponsor:
Morgan Lewis
Sponsor:
AXIOMSL
FIX Finance Information