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The Law of Financial Advice, Investment Management, and Trading

Buch | Hardcover
400 Seiten
2019
Oxford University Press (Verlag)
978-0-19-882637-8 (ISBN)
CHF 317,30 inkl. MwSt
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This work provides guidance on legal and regulatory risks, and the protection of the investor, throughout the investment cycle, analysing financial investments, their markets, the market infrastructure, and the roles and responsibilities of financial intermediaries.
This work analyses the law and regulation relating to financial investments, their markets, payment and settlement systems, as well as the duties and liabilities of intermediaries, providing invaluable legal and practical guidance regarding legal risk and the protection of the investor.

The book is divided into three parts. Part I categorises the various financial assets legally and analyses their legal, regulatory, and risk/return properties, and examines what protections are available to investors who own financial assets. It also addresses the investment principles that underpin the investment processes.

Part II addresses the process by which financial assets may be acquired and disposed of via the markets and the market infrastructure, including central counterparty and clearing features as well as payment and settlement systems. It analyses the risks investors face in the context of trading and settlement.

The impact of the principles and risks, described in Parts I and II respectively, inform the scope of the duties, responsibilities and liabilities of the intermediaries that advise investors. Part III focuses on the role of these intermediaries, tying together the constituent components of the investment cycle from the investor's point of view and examining the quality of investor protection, service, proprietary protection and regulatory supervision.

Written by a specialist with broad market experience this book is an essential purchase for all lawyers advising investors, financial advisors and investment managers.

Lodewijk van Setten is Visiting Professor of Financial Law at King's College London and Senior Financial Services Consultant. He has wide-ranging experience in the financial services sector, including tenures as International COO and Managing Director at Morgan Stanley Investment Management and European Counsel at State Street Global Advisors, and present engagements as Senior Consultant to institutional financial services clients. He has published widely on investment management and funds including Van Setten: The Law of Institutional Investment Management (OUP, 2009), and Van Setten and Busch: Alternative Investment Funds in Europe - Law and Practice (OUP, 2014). This book is the natural successor to his 2009 work, tackling the subject on a broader, practical, and more rounded basis.

Erscheinungsdatum
Verlagsort Oxford
Sprache englisch
Maße 178 x 247 mm
Gewicht 836 g
Themenwelt Recht / Steuern EU / Internationales Recht
Recht / Steuern Wirtschaftsrecht Bank- und Kapitalmarktrecht
ISBN-10 0-19-882637-0 / 0198826370
ISBN-13 978-0-19-882637-8 / 9780198826378
Zustand Neuware
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