Financial Markets and Exchanges Law -

Financial Markets and Exchanges Law

Buch | Hardcover
960 Seiten
2021 | 3rd Revised edition
Oxford University Press (Verlag)
978-0-19-882752-8 (ISBN)
389,95 inkl. MwSt
This third edition of the leading book on the regulation of financial market infrastructure has been updated to include analysis of MiFID II and MiFIR, and considers the impact of FinTech on the financial markets.
This work is essential for banking and investment business practitioners and legal advisers working in those fields. It provides an invaluable reference source on current on-exchange and off-exchange market trading, and regulatory issues, in the payments, investments, debt, securities, and derivatives sectors. The coverage relates to the UK, the EU, the USA and to some Asian markets, while also providing an account of the international architecture and systems.

The book provides a comprehensive and authoritative analysis on the regulation of financial markets and market infrastructure including the new area of financial technology. It focuses on stock markets and exchanges, associated trading, clearing and settlement, and payment systems, set in their historical and current contexts. The new edition reflects recent changes to the various systems of financial regulation. It examines specific markets including equity, debt, and financial derivatives (both on-exchange and off-exchange), from UK, European, and international perspectives. It also includes associated topics, such as global custody and credit rating, together with a new chapter on transaction reporting.

Since the second edition, published in 2012 reflecting the 2007-9 financial crisis, there have been further changes to financial regulatory regimes at national, regional, and international levels. In the UK and the EU generally, the implementation of MiFID II has had a significant impact on the architecture and operation of the markets. Institutional revision within the EU is covered, including the development of the role of the European Securities and Markets Authority (ESMA), and allied developments on listing, prospectuses, payments, and electronic money.

The book examines regional developments alongside domestic measures, including the changes to the FCA Handbook (particularly on Listing, Prospectuses, and Disclosure) and the Brexit-driven "on-shoring" into the UK of the EU regime. In addition, there are new chapters on Regulatory Technology and Islamic Capital Markets. This third edition is timely in the UK because of Brexit, and in the EU due to new emphasis on systemically important elements of market infrastructure, and the shift of policy making from the member states to the EU central institutions.

Michael Blair QC is in independent practice at the Bar of England and Wales specialising in financial services. Previously General Counsel to the Board of the Financial Services Authority. Queen's Counsel honoris causa 1996. George Walker is Professor in International Financial Law at School of Law, Queen Mary University of London and is a member of the Centre for Commercial Law Studies (CCLS). He is also a Barrister and Member of the Honourable Society of Inner Temple in London. Stuart Willey was formerly Partner and Head of the Regulatory Practice in the Banking & Capital Markets group of White & Case in London. Stuart specializes in financial regulation focusing on the securities markets and banking. Stuart is currently an adviser at the Bank of England.

PART I FINANCIAL MARKETS
1: George Walker: Financial Markets and Exchanges
2: George Walker: Exchange Review, Regulation, and Evolution
3: Mark Kalderon: UK Central Banking and Financial Stability
PART II UK SECURITIES MARKETS
4: Bob Penn and Alex Forzani: Recognized Investment Exchanges (RIEs) and Recognized Clearing Houses (RCHs)
5: Will Pearce and Jamie Corner: The Listing, Prospectus, and Disclosure and Transparency Rules
6: Stuart Willey: MiFID/MiFIR and the New Trading Architecture
7: Bob Penn and Nadia Pascal: Multilateral Trading Facilities (MTFs)
8: Saima Hanif: Transaction Reporting
PART III UK DERIVATIVES, MONEY, AND DEBT MARKETS
9: Sean Schneider: London Stock Exchange: Regulation of the Main Market and Alternative Investment Market (AIM)
10: Stuart Willey: UK Government Debt Management and the Gilt Market
11: Emma Dwyer: UK Derivatives and Commodities Markets
PART IV UK PAYMENT AND SETTLEMENT
12: Jonathan Rogers: UK Payment Systems
13: Madeleine Yates: UK Settlement
PART V NEW FINTECH IN FINANCIAL MARKETS AND INFRASTRUCTURE
14: Joanna Perkins: Impact on Markets, Settlement, Custody, and Payment Systems
15: Philip Treleaven and Sally Sfeir-Tate: Impact on Regulation of Financial Markets
PART VI EUROPEAN SECURITIES MARKETS SUPERVISION
16: Stuart Willey: The European System of Financial Supervision
17: Markus Kaempf and Peter Nobel: Regulation of European Markets and Exchanges
PART VII INTERNATIONAL SECURITIES, INCLUDING MARKETS AND CLEARING SYSTEMS
18: Eva Hüpkes: The Architecture of International Financial Regulation
19: Madeleine Yates: International Settlement
20: Madeleine Yates: Global Custody
21: Charlotte Eborall: Credit Rating Agencies
22: Edward L Pittman: US Equity Market Structure
23: Douglas W Arner and Berry FC Hsu: Hong Kong Markets and Exchanges
24: Peter Casey: Islamic Securities Exchanges

Erscheinungsdatum
Verlagsort Oxford
Sprache englisch
Maße 176 x 254 mm
Gewicht 1776 g
Themenwelt Recht / Steuern EU / Internationales Recht
Recht / Steuern Wirtschaftsrecht Bank- und Kapitalmarktrecht
ISBN-10 0-19-882752-0 / 0198827520
ISBN-13 978-0-19-882752-8 / 9780198827528
Zustand Neuware
Haben Sie eine Frage zum Produkt?
Mehr entdecken
aus dem Bereich
Einkommensteuer, Körperschaftsteuer, Gewerbesteuer, Bewertungsgesetz …

von Manfred Bornhofen; Martin C. Bornhofen

Buch (2024)
Springer Gabler (Verlag)
27,99
CRR, IFR, SSM-VO, SRM-VO, EBA-VO
Buch | Softcover (2024)
dtv Verlagsgesellschaft
21,90