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Global governance of financial systems : the international regulation of systemic risk
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ISBN: 9780195166989 0195166981 0199783861 1280560339 1602569304 0198037325 9786610560332 1423733924 0199883238 Year: 2006 Publisher: Oxford ; New York : Oxford University Press,

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Abstract

The authors set forth the economic rationale for international financial regulation & what role, if any, international regulation can play in effectively managing the systemic risk while providing accountability to all affected nations.


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Secret finance ou le grand krach.
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ISBN: 9782930585000 2930585005 Year: 2009 Publisher: Bruxelles Genèse


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Régulation des marchés financiers.
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ISBN: 9782729876920 2729876928 Year: 2013 Publisher: Paris Ellipses


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The globalized governance of finance
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ISBN: 9781108594295 1108594298 9781108475518 9781108468596 1108597025 1108475515 Year: 2020 Publisher: Cambridge Cambridge University Press

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Big banks are capable of wreaking havoc on the global economy, and governments have often felt powerless to stop them. Regulators have responded by developing coordinated programs to handle banks, insurers, broker dealers, shadow banks and other businesses that can blow up in a crisis. This program began informally and undemocratically, and has developed into something much more organized, formalized and predictable, even though it has never been legally enforceable. David Zaring examines the realities of the current international financial system and concludes that in fact this is a well-ordered and functioning regulatory environment: the international financial system enjoys a substantial degree of compliance, and operates predictably and harmoniously. As a result, perhaps this could serve as a paradigm for future global governance. Zaring explores three aspects of international financial regulation that can inform global governance: harmonization through rules, cooperation on enforcement and agreement on fundamental principles.


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EC securities regulation
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ISBN: 9780199202744 0199202745 Year: 2008 Publisher: Oxford ; New York : Oxford University Press,

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EU effecten effectenreglementering kapitaal prospectus transparantie instellingen voor collectieve belegging - ICB 's UCITS investeringen investeringsregime MIFID trading - tradingmarkt marktmisbruik institutioneel kader toezicht controle - Inhoudstafel: Part I Introduction 1: Introduction Part II Capital Raising 2: Capital Raising Part III Collective Investment Schemes 3: Collective Investment Schemes Part IV The EC Investment-services Regime 4: The Regulation of Investment Services providers: the EC Regime 5: The Investment-services Passport 6: The Prudential Regulation of Investment Services Providers and Conflict-of-Interest Regulation 7: Protective Regulation 8: Gatekeepers 9: Investor Compensation Part IV Trading Markets 10: Order Execution 11: The Settlement of Securities Transactions Part V Market Abuse 12: Market AbusePart VI The Institutional Structure of EC Securities Regulation 13. The Rule-making Structure 14: Supervision- Beschrijving: 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 considers the extensive new regime in its legal institutional political 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. This book 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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