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Risk and Regulation Monthly – July 2012


The Risk and Regulation Monthly provides a summary of the key International, European and UK regulatory developments and pertinent regulatory activity affecting the Financial Services industry.

July saw the headlines dominated by the continuing LIBOR saga, but there was also the normal pre-holiday rush of announcements, with papers on financial market infrastructures, UCITS funds and Solvency II.

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Risk and Regulation Monthly July 2012 (PDF)

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