In the Wake of the Changes in the Financial Sector: CMP Welcomes Experienced Investment Manager to the Team

It is with great pleasure CMP can welcome Henning Skov Jensen as Manager. As of October 1st, Henning is part of the Investment Management team at CMP. With his extensive experience within the field, he is going to strengthen the expansion of the already established deliveries, that CMP offer their clients within Investment Management.

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Long Term Effects of MiFID II – 3rd Edition

For Whom the Bell Tolls

– Will MiFID II Bring About the End of the OTC Era?

Over the last couple of days, I have posted on what I see as the likely effect of MiFIR on respectively the equity and bond markets. In this post, we will turn to the derivatives markets. These are the “true” OTC markets, and my prediction is, that this is where the impact of MiFIR will be felt the hardest.  I see several factors combining to bring this about.

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Long Term Effects of MiFID II – 2nd Edition

For Whom the Bell Tolls

– Will MiFID II Bring About the End of the OTC Era?

MiFID II/MiFIR is a broad regulatory complex, that influences a lot of activities within the banks. Currently, people within the financial sector across Europe are busy getting it right and delivered in time. In three editions, I can hopefully broaden the perspective of the consequences of MiFID within the next couple of years. In this series of posts, I will take my point of departure in three important markets: equity, bonds and derivatives.

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