Date: 31 May 2018
Time: 10:00 am ET / 3:00 pm London / 4:00 pm CET
Markets in Financial Instruments Directive II (MiFID II), Market Abuse Regulation (MAR), Dodd-Frank and other high-profile regulations require practitioners to demonstrate how they executed trades in the context of historical market data and other external factors. This webinar looks at the requirements and offers guidance on best practice for compliance.
Join the webinar to find out about:
Moderator: Sarah Underwood, Editor,
Pre-Sales Director EMEA
Paul Rogers has over 25 years of experience within Electronic Trading, Confirmation and Regulatory domains. Strong technical knowledge of Voice Processing and Analysis, Trade Communications Surveillance and other relevant systems involved in the trade life-cycle. Mr Rogers has worked with important players from the financial industry and in regulatory initiatives including MiFID, Dodd-Frank, EMIR and MiFID II.