EC Securities Regulation
2nd Revised edition
By (author) Niamh Moloney
EC Securities Regulation by Niamh Moloney
Book DescriptionIn the wake of radical and far-reaching legal, market, and institutional reforms which followed the completion of the Financial Services Action Plan, the EC regime for securities regulation now governs Community financial markets and has almost replaced national law in this area. This long-awaited second edition of EC Securities Regulation considers the extensive new regime in its legal, institutional, political, and market context and assesses the forces which have shaped it. Far-reaching reforms have followed from the coincidence of law-making reform under the Lamfalussy process with the regulatory reforms adopted under the Financial Services Action Plan. The new edition considers key measures, including the 2003 Prospectus Directive, the 2003 Market Abuse Directive, the 2004 Transparency Directive, the reforms to the UCITS regime,the groundbreaking 2004 Markets in Financial Instruments Directive, and the extensive developments in clearing and settlement. A new chapter addresses the treatment of gatekeepers. Detailed attention is given throughout the book to the extensive rules which apply at level 2 and to the level 3 process. New chapters have also been added on law-making and supervision, following the dramatic developments which followed the establishment of the Committee of European Securities Regulators. The influence wielded by the CESR on EC securities regulation is a key undercutting theme of the book.
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Book DetailsISBN: 9780199202744
(240mm x 163mm x 61mm)
Imprint: Oxford University Press
Publisher: Oxford University Press
Publish Date: 16-Oct-2008
Country of Publication: United Kingdom
Books By Author Niamh Moloney
EU Securities and Financial Markets Regulation, Paperback (January 2016)
The is the first comprehensive, authoritative account of the new regulatory and supervisory regime which now applies to the EU financial market following the radical and far-reaching regulatory, supervisory, and institutional reforms which have followed since the Global Financial Crisis.
Oxford Handbook of Financial Regulation, Hardback (September 2015)
The Oxford Handbook of Financial Regulation is the first comprehensive, state of the art survey of the nature and function of financial regulation. Written by an international team of leading scholars in the field, it takes a contextual and comparative approach to examine scholarly, policy, and regulatory developments in the past three decades.
Regulatory Aftermath of the Global Financial Crisis, Hardback (November 2012)
Provides an unrivalled understanding of major regulatory reforms that will profoundly affect the future of finance.
How to Protect Investors, Hardback (January 2010)» View all books by Niamh Moloney
A critical, comparative and contextual examination of how to protect retail or household investors which considers the financial crisis's implications.
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Author Biography - Niamh Moloney
Niamh Moloney is Professor of Capital Markets Law at the University of Nottingham.
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