ICMA has published it’s quarterly report for the third quarter of 2017. In the Report the Foreword is by Martin Scheck, Chief Executive of ICMA. The Quarterly Assessment is on Brexit: addressing risks in international capital markets. There are features on: the review of the European Supervisory Authorities; the European credit repo market; bail-in versus bail-out; and the panda bond market. The ICMA Quarterly Report also covers international capital market practice and regulation in the primary markets, secondary markets, repo and collateral markets, asset management and green and social bond markets. These contributions are followed by an international regulatory digest of recent G20 and European regulatory reforms.