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European Banking Union, Second Edition, includes analysis of the legal and economic aspects of the banking union regime in Europe. The second edition expands coverage to include deposit schemes, testing within the Single Supervisory Mechanism (SSM) and the BRRD and SRB in practice.
The first detailed analysis of the legal and practical implications of the AIFMD at regional and national level.
A comprehensive reference guide to the Markets in Financial Instruments Directive II (MiFID II), combining theoretical and practical perspectives to cover all aspects of this important legislation.
Capital Markets Union in Europe analyses the legal and economic aspects of the plans for a Capital Markets Union (CMU) in Europe, which will have a major impact on financial markets and institutions both in the region and beyond.
This book provides unique access to comprehensive legal and multidisciplinary analysis of the important topic of governance of financial institutions and includes coverage of the new requirements for management functions under MiFID II.
This work provides integrated analysis of and guidance on the Prospectus Regulation 2017. The volume examines the harmonisation of the Prospectus Regulation, the areas not covered by the rules, and the impact of Brexit and provides valuable reference for all advising and researching this field.
This new work is the first comprehensive source of reference on the legal and regulatory framework for financial market infrastructures covering trading and post-trading in the securities and derivatives markets.
This book is an in-depth and timely analysis of the EU Crowdfunding Regulation. Striking a balance between academic scrutiny and practical context, and drawing upon various aspects of financial law, consumer law, and dispute resolution, it is invaluable for practitioners and academics seeking to understand an innovative alternative mode of funding.
This revised edition analyses the European market abuse regime contained in the Market Abuse Regulation and related directives and regulations, and has been updated and expanded to reflect the impact of new developments in legislation and case law following the implementation of the Regulation.
This book analyses the legislative framework for capital adequacy and liquidity supervision in the Single Rule Book for European banks. It covers the historical realisation of the Single Rule Book for capital adequacy and liquidity supervision, and the background of the standards put forward by the Basel Committee for Banking Supervision.
This is the first book to focus on the liability regimes which apply to financial supervisors and resolution authorities at the EU level, at the level of major individual EU Member States, and in major jurisdictions worldwide.
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