How are factors from new regulation to market volatility affecting corporate access services offered by brokers?
Despite experiencing more than its fair share of regulatory scrutiny and rule implementation, corporate access is thriving, with the sell side maintaining its position within the investment community as the primary provider of the practice. But the current corporate access landscape looks set to change further with the much-publicized Mifid II looming on the horizon, which – when coupled with existing regulation and continuing market volatility – casts a degree of uncertainty over
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