MiFID Level 2
Level 2

To respond to the provisional mandates for technical advice on the Financial Instruments Markets Directive (MiFID [ISD2]), CESR has established three Expert Group: the first covering market issues; the second covering ‘intermediaries’ issues and the third to focus on co-operation and enforcement issues. For more information and documentation on each of these groups please see the pages dedicated to each group.

A steering group has also been established to consider horizontal issues and to ensure overall consistency in the advice prepared by each expert group. The group consists of the three chairmen of the experts groups and chaired by CESR’s Chairman, Arthur Docters Van Leeuwen.

A consultative Working Group of market participants has also been appointed to provide technical advice to all three expert groups. The market participants are experts drawn from across the European Markets. They are not intended to represent national or a specific firms’ interest and do not replace the important process of full consultation with all market participants.

Dr Heiko Beck,General Counsel DekaBank Deutsche Girozentrale
Dr Michele Calzolari,Chairman of Assosim and CEO of CENTROSIM
Mr Jean-François Conil-Lacoste,CEO of Powernext SA
Mr Henri de Crouy-Chanel,Administrateur Délegué of Aurea Finance Company
Mr Peter De Proft,General Manager, Fortis Investments
Mr Mark Harding,Group General Counsel of Barclays Bank Plc
Mr Brian Healy,Director of Trading of the Irish Stock Exchange
Mr Henrik Hjortshøj-Nielsen,Senior vice president Nykredit
Mrs Marianne Kager,Chief Economist of Bank Austria
Mr Socrates Lazaridis,Vice-President of the Athens Stock Exchange
Mr Jacques Levy-Morelle,Secretary General of Solvay SA
Mr Gyorgy Mohai,Advisor to the Budapest Stock Exchange
Mr Peter Norman,Executive President of Sjunde AP-fonden
Mr Anthony Orsatelli,CEO of CDC Ixis
Mr Joao Martins Pereira,Compliance officer and Adviser to the Board of Directors of Banco Espírito Santo
Mr Frede Aas Rognlien,Head of Legal and Compliance, Enskilda Securities ASA
Mr Roger Sanders,Joint Chairman of FSA-SBPP Deputy Chairman of the Association of Independent Financial Advisers
Dr Jochen Seitz,Senior Associate at Norton Rose
Mr Juan Carlos Ureta,Chairman and CEO of Renta 4
Mr Renzo Vanetti,CEO of SIA S.p.A
Mr Jan-Willem Vink,General Counsel ING Group
16 May. 2006
Directive 2006/31/EC amending directive 2004/39/EC on markets in financial instruments, as regards certain deadlines
[EC 2006/31]
 
 
16 May. 2005
MiFID Consumer Day – 22 March 2005. Issues on regulation of intermediaries and markets under MiFID - Summary of main conclusions
[05-350]
 
 
03 May. 2005
CESR’s Technical Advice on Possible Implementing Measures of the Directive 2004/39/EC on Markets in Financial Instruments -1st Set of Mandates where the deadline was extended and 2nd Set of Mandates
[05-290b]
 
 
03 May. 2005
Feedback statement to CESR’s Technical Advice on Possible Implementing Measures of the Directive 2004/39/EC on Markets in Financial Instruments - 1st Set of Mandates where the deadline was extended and 2nd Set of Mandates
[05-291b]
 
 
03 May. 2005
Press release - CESR’s Technical Advice on Possible Implementing Measures of the Directive 2004/39/EC on Markets in Financial Instruments -1st Set of Mandates where the deadline was extended and 2nd Set of Mandates
[05-320]