The revised Markets in Financial Instruments Directive and associated Regulation (MiFID II) are EU financial markets legislation taking effect from 3 January, 2018.
MiFID II will bring about a comprehensive overhaul of the European market structure and investor protection framework. The scope of application covers EU investment firms, their branches, as well as EU branches of non-EU firms, providing MiFID II services and activities to clients for in scope financial instruments (including equities, bonds, UCITs and derivatives). The venues where these instruments are traded will also need to comply with the relevant MiFID II requirements.
On this page you will find key documentation, useful links to external resources, along with contact details should you require additional information on MiFID II.
Essential MiFID II Documents for Bank of America Merrill Lynch clients
Please click on the links below to access the required documents.
- BofAML EMEA Capital Markets Allocation and Distribution Policy Summary (Version 1.0 - January 2018)
- BofAML EEA Complaints Handling Summary (Version 1.0 - January 2018)
- Business Unit Specific
- BofAML List of Execution Venues (Version 1.0 - January 2018)
- BofAML MiFID II FIX Specifications October 2017