Nordea On Your Mind
Article by:
Martin Månsson
How MiFID II regulation changes the playing field for both the buy-side and the sell-side in the securities industry
In our May Nordea On Your Mind (“Liquidity drought”), Johan Trocmé, Director, Thematics at Nordea Markets interviewed Nordea Asset Management’s John Hernander, CIO of Nordic, Finnish Swedish Equities and Portfolio Manager of Swedish Equities, and Mats Andersson, Portfolio Manager for Nordea’s Nordic small-cap equity fund, on how MiFID II will impact business models for asset management and investment research as well as how it could affect liquidity, equity values and the ability to use equity-based executive incentive programmes, particularly at small- and mid-cap listed companies.