- Author : Philip R Wood
- ISBN : 9788190865012
REGULATION OF INTERNATIONAL FINANCE
RM800.00
This volume contains the principles and policies of financial regulation and a large number of snapshot country surveys, including EU directives. It reviews the regulation of banks, investment firms, broker-dealers, investment managers and advisers and covers the regulation of exchanges. It deals with the conduct of business by financial firms including conflicts of interest and client assets and looks at prospectuses, prospectus liability and prospectus due diligence and contents. The book also :
- Surveys collective investment schemes and hedge funds
- Deals with market manipulation, insider dealing and other market abuse
- Surveys financial supervision and capital adequacy
- Contains outlines and commentaries on documents
| Category: | Banking & Finance |
|---|
Related products
-
Malaysian Stamp Duty Handbook, 6th Edition
RM120.00Author: Arjunan Subramaniam
ISBN: 9789672339373
Published: May 2020
Format: DUO (Paperback + ProView eBook)
Country: Malaysia -
CHALMERS AND GUEST ON BILLS OF EXCHANGE AND CHEQUES SEVENTEENTH EDITION ( IN GOOD CONDITION )
RM600.00The new 17th edition of Chalmers & Guest provides a complete encyclopaedia to the law and practice relating to bills of exchange, cheques and promissory notes.
It covers the complete banking law and practice in relation to negotiable instruments and presents detailed expert commentary on all aspects of the law relating to bills of exchange, cheques and promissory notes. It considers the capacity and authority of parties, offers extensive references to the relevant case law and looks at modern trends, such as electronic transfer of funds.
Also, the book provides commentary on the important cases that have occurred since the previous edition and includes an extended range of references to Commonwealth authorities. It takes into consideration the Gambling Act 2005, the Consumer Credit Act 2006 and other statutory changes since the previous edition and looks at the recent legislation amendments including those to the Bills of Exchange Act 1882 and Cheques Act 1982.
-
TOLLEY’S GUIDE TO THE LISTING RULES : TRANSACTIONS AND PROCEDURES ( IN FAIR CONDITION )
RM275.00This highly practical new handbook deals with listing rules from a transactional point of view, assisting users in implementing the rules laid down by the Financial Services and Markets Act 2000. It includes guidance on the regulatory framework, dealing with the UKLA, getting listed and working with other jurisdictions.
Written in a user-friendly style, this book contains checklists, flowcharts and a class test template which will guide the reader through this complex area.
Contents:
1. Introduction to the Listing Rules and UKLA
2. Equity securities market
3. Sponsors, enforcement and suspension of securities
4. Listing criteria and contents of listing particulars
5. The listing process
6. Specialised routes to market
7. Investment entities and venture capital trusts
8. Corporate governance and continuing obligations
9. Transactions and financial information
10. Dealing with the UKLA
11. Alternative Investment Market
12. Overseas companies and the EU
dealing with other jurisdictions and mutual recognition
13. Specialist securities and securitised derivatives
14. New developments – EU and UK
Appendix 1: Case studies
Appendix 2: Transaction checklist -
Guarantees & Performance Bonds | 3rd Edition
RM652.00Author: Poh Chu Chai
ISBN: 9789814770811
Year: 2017
Format: Softcover
Country: Malaysia & SingaporeRM723.50 -
Ifsa 2013: Commentaries On Islamic Banking & Finance
RM230.00The enactment of the Islamic Financial Services Act 2013 (IFSA 2013) has marked an exceptional milestone in the development of the domestic Islamic financial industry. With a strong industrial bedrock created over 30 years,Malaysia has yet again pioneered the enabling legislative reformation vital for industrial fluidity and harmonisation.While the Act caters to all regulatory and supervisory aspects of the industry, this book aims to provide a succinct commentary on the provisions within the Islamic Banking parameters, As the nature of legislative demands change from a detailed and prescriptive approach to one which is principle- based, this book provides a perfect companion to assist readers in understanding and navigating the current legislative maze
-
Law Relating to Insider Trading (Fourth Edition) by Dr K R Chandratre, Bharat Law House Pvt Ltd
RM399.00Table of Contents:Chapter 1Â Â Â Â Insider TradingAnnexure 1Â Â Securities and Exchange Board of India (Prohibition of Insider Trading) Regulations, 2015Chapter 2Â Â Â Â Important Definitions under PIT RegulationsChapter 3Â Â Â Â Restrictions on Communication and Trading by InsidersChapter 4Â Â Â Â Trading PlansChapter 5Â Â Â Â Disclosure Requirements under the SEBI PIT RegulationsChapter 6Â Â Â Â Codes of Fair Disclosure and ConductChapter 7Â Â Â Â Offences, Penalty and PunishmentAppendix 1Â Â Selected Orders of Securities Appellate TribunalAppendix 2Â Â Securities and Exchange Board of India (Prohibition of Insider Trading) Regulations, 1992Appendix 3Â Â Report of the High Level Committee to Review the SEBI (Prohibition of Insider Trading) Regulations, 1992Appendix 4Â Â Report of Committee on Fair Market Conduct -
Restructuring and Insolvency: A Commentary
RM405.00- Publication Date: Apr – 2023
- Author: Jimmy Ng Chwe Hwa & Wong Chee Lin (General Editors)
- ISBN: 9786297527079
- Format: Hardcover + eBook
- Country: Malaysia
RM450.00 -
CONFLICT OF LAWS AND INTERNATIONAL FINANCE
RM800.00Part of the Law and Practice of International Finance series, this guide presents a detailed examination of the key issues relevant to the conflict of laws and international finance. This volume:
- Gives practical guidance on the conflict of laws from the governing law of contracts to areas such as financial regulation, financial torts, trusts and insolvency
- Helps you decide which legal system to adopt and how to resolve issues
- Covers the governing law of contracts so you are clear of the basis on which international financial contracts should operate
- Explains jurisdiction over financial contracts so you can advise clients on areas including arbitration of financial contracts and enforcement of foreign judgments
- Looks in detail at conflict of laws for security interests and title finance so you are completely informed on these important areas
- Examines conflict of laws for financial torts and financial trusts
- Discusses the conflict of laws for regulation of international finance and regulatory jurisdiction making the application of the correct regulations simpler
- Provides coverage of sovereign immunity in the UK, US and EU as well as the recognition of states, state succession and international organisations
- Includes special treatment of conflict of laws in insolvency giving you expert guidance








