(四)针对证券业的监管文件包括:
1、有关证券交易所监管的文件
(1)《证券交易所上市准入及信息披露管理》 “Admission of securities to official stock-exchange listing and information to be published on those securities”
2、有关权益类资本市场的监管文件包括:
(1)《证券发行机构信息透明度》“Transparency of information about issuers of securities”
(2)《证券公开发行及获准交易所需公布的信息细则》“Prospectus to be published when securities are offered to the public or admitted to trading”
(3)《关于市场滥用》“Market abuse”
(4)《关于信用评级机构》“Credit rating agencies”
3、有关基金业的监管文件
(1)《关于加强对投资基金的框架建设》“Enhancing the framework for investment funds”
(2)《单一市场投资基金白皮书》“White Paper on the single market for investment funds”
(3)《投资服务:可转让证券领域的集合投资》“Investment services : Undertakings for Collective Investment in Transferable Securities (UCITS)”
(4)《关于清算与结算行动计划》“Action plan for clearing and settlement”
4、有关投资服务监管的文件有:
(1)《关于金融工具与投资服务市场》“Markets in financial instruments (MiFID) and investment services”
(2)《关于投资服务》“Investment services”
(3)《关于投资公司与金融信贷机构的资本充足》“Capital adequacy of investment firms and credit institutions”
(4)《关于投资者补偿计划》“Investor compensation schemes”
(5)《关于风险资本行动计划》“Risk Capital Action Plan (RCAP)”
(五)针对保险业的监管文件包括:
1、对保险公司的监管
(1)《人寿保险监管指令》 “Life assurance Directive”
(2)《非人寿保险监管指令》 “Directive on insurance other than life assurance ”
(3)《非人寿保险监管第三指令》 “Third Directive on insurance not relating to life insurance”
2、对保险业不同业务领域的监管文件有:
(1)《交通责任险指引》“Motor vehicles liability insurance ”
(2)《飞行器及飞行器驾驶人员保险指引》 Insurance for air carriers and aircraft operators
参考资料:
1、Basel Committee on banking supervision “report on international development in banking supervision” Sept 2006
2、
www.bis.org
3、
www.ecb.int
4、
http://europa.eu/