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MiFID II Investor Protection


The course is designed to provide a thorough examination of recent developments in the MiFID II regulatory framework, specifically focusing on four key elements. Participants will gain insights into the European Securities and Markets Authority’s (ESMA) Final Report on retail investor protection, the proposed directive addressing retail investor protection, product governance requirements guidelines, and the MiFID II remuneration requirements. This course aims to enhance participants’ understanding of the evolving landscape in investor protection and equip them with the knowledge needed to navigate these changes effectively.

This programme has been developed by the European Institute of Management and Finance (EIMF), a globally-recognised training institution.

The syllabus is verified by external subject matter experts and can be accredited by regulators such as FCA and other financial regulators and other bodies that approve education in financial regulation, for 3 CPD Units. The course may be also approved for CPD Units by institutions which approve general financial training, such as the CISI.

Eligibility criteria and CPD Units are verified directly by your association, regulator or other bodies you hold membership with.

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