In 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.
Le informazioni nella sezione "Riassunto" possono far riferimento a edizioni diverse di questo titolo.
an immensely well-researched book... essential reading for those interested in the intricacies of European securities legislation or simply in the evolution of the European regime and the institutional changes which went with it. ( Pierre Schammo, European Business Organization Law Review 11:309-315)
...it sets a bench mark in the field of European securities regulation and can be recommended to all who are looking for an excellent analysis in this field, be they academics, practitioners or regulators. ( Markus Heidinger, Journal of International Banking Law and Regulation)
Niamh Moloney is Professor of Capital Markets Law at the University of Nottingham.
Le informazioni nella sezione "Su questo libro" possono far riferimento a edizioni diverse di questo titolo.
Descrizione libro Oxford Univ Pr, 2008. Hardcover. Condizione libro: Brand New. 2nd edition. 1120 pages. 9.21x6.22x2.52 inches. In Stock. Codice libro della libreria zk0199202745