Markets In Financial Instruments Directive (‘MiFID’): Changes To The Scope Of Regulation

Journal of International Banking and Financial Law
(2006) 10 JIBFL 443
1 November 2006
Bob Penn
is an Associate in Allen & Overy’s regulatory team. He advises on a variety of financial services matters, including bank regulation, regulation of the securities and derivatives markets, exchanges, trading systems and other market infrastructure. Bob also advises in relation to private equity [...]