file-o file-pdf-o file-word file-excel file-powerpoint file-image file-archive file-audio file-movie file-code file-openoffice file-css menu googleplus facebook instagram twitter feed youtube vimeo2 lanyrd flickr picassa deviantart github wordpress blogger tumblr yahoo soundcloud skype linkedin lastfm delicious stumbleupon stackoverflow pinterest foursquare cross arrow-left arrow-down arrow-up arrow-right arrow-left2 arrow-down2 arrow-up2 arrow-right2 arrow-left3 arrow-down3 arrow-up3 arrow-right3

You are here

2016 Program


Wednesday, October 19, 2016 at 3:45 PM

W3:45A What U.S. Market Participants Need to Know about EU Regulations

Continental C
While Europe is still some way behind the US in implementing post-crisis derivatives market regulatory reform, a number of key developments present potentially significant changes to how the markets operate both within the region and beyond. This panel will cover the key developments, such as EMIR, MiFID and MAR, that US market participants should be aware of, and consider the new uncertainties presented by Brexit.

Chair:

Mike Sorrell, Assistant General Counsel, FIA

Speakers:

Alexander Holtan, Counsel, Sutherland Asbill & Brennan
Jonathan Jachym, Head of North America Regulatory Strategy & Government Relations, London Stock Exchange Group
Nathaniel Lalone, Partner, Katten Muchin Rosenman
Kay Swinburne, Member, European Parliament
Matthew VosBurgh, Vice President, Regulatory Execution Compliance, Barclays