United Kingdom : Financial Sector Assessment Program-Fund Management and Equity Trading Platforms: Regulation, Supervision, and Systemic Risk Monitoring-Technical Note

The size and interconnectedness of the U.K. investment management sector and equity markets pose a significant challenge to the U.K. authorities. More than half of the investment funds managed by U.K. fund managers are domiciled abroad. The proportion is even larger in the case of alternative investment funds (AIFs). U.K. equity trading platforms dominate European equity trading, covering almost half of the total value of on-platform trading. This interconnectedness creates a potential for inward and outward spillovers, and dealing with them requires effective domestic supervision and systemic risk monitoring, supported by international cooperation.
Publication date: June 2016
ISBN: 9781484393833
$18.00
Add to Cart by clicking price of the language and format you'd like to purchase
Available Languages and Formats
English
Prices in red indicate formats that are not yet available but are forthcoming.
Topics covered in this book

This title contains information about the following subjects. Click on a subject if you would like to see other titles with the same subjects.

Money and Monetary Policy , Money and Monetary Policy , International - Economics , International - Economics , Public Policy , Public Policy ,

Summary