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Butterworths Corporate Governance Handbook - Keith Walmsley

Butterworths Corporate Governance Handbook

(Autor)

Buch | Softcover
2066 Seiten
2005
Butterworths Law (Verlag)
978-1-4057-1054-1 (ISBN)
CHF 569,95 inkl. MwSt
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Includes among others: Legislation; Companies Act 1985: Part VII (Accounts and Audit); Part VIII (Distribution of Profits and Assets); Part IX (A Company's Management; Directors and Secretaries; their Qualifications, Duties and Responsibilities); Part X (Enforcement of Fair Dealing by Directors); and, Part XA (Control of Political Donations).

Companies Act 1985;
Company Directors Disqualification Act 1986;
Companies Act 1989;
Criminal Justice Act 1993;
Financial Services and Markets Act 2000;
Companies (Audit, Investigations and Community Enterprise) Act 2004;
Companies (Disclosure of Directors’ Interests) (Exceptions) Regulations;
Companies (Tables A to F) Regulations 1985;
Insolvent Companies (Disqualification of Unfit Directors) Proceedings Rules 1987;
Companies (Revision of Defective Accounts and Report) Regulations 1990;
Companies Act 1989 (Register of Auditors and Information about Audit Firms) Regulations;
Companies Act 1989 (Eligibility for Appointment as Company Auditor) (Consequential Amendments) Regulations 1991;
Companies Act 1985 (Disclosure of Remuneration for Non-Audit Work) Regulations 1991;
Companies Act 1985 (Audit Exemption) Regulations 1994;
Companies Act 1985 (Audit Exemption) (Amendment) Regulations 1995;
Companies (Summary Financial Statement) Regulations 1995;
Companies Act 1985 (Miscellaneous Accounting Amendments) Regulations 1996;
Insolvent Companies (Reports on Conduct of Directors) Rules 1996;
Insolvent Companies (Reports on Conduct of Directors) (Scotland) Rules;
Companies Act 1985 (Accounts of Small and Medium-sized Companies and Minor Accounting Amendments) Regulations 1997;
Companies (Disqualification Orders) Regulations 2001;
Financial Services and Markets Act 2000 (Communications by Auditors) Regulations 2001;
Companies (Particulars of Usual Residential Address) (Confidentiality Orders) Regulations 2002;
Companies (Audit, Investigations and Community Enterprise) Act 2004 (Commencement) and Companies Act 1989 (Commencement No 18) Order 2004;
Financial Services and Markets Act 2000 (Market Abuse) Regulations 2005;
Companies Act 1985 (Power to Enter and Remain on Premises: Procedural) Regulations 2005;
Financial Services and Markets Act 2000 (Financial Promotion) Order 2005;
Companies (Disclosure of Auditor Remuneration) Regulations;
White Paper – Company Law Reform;
Appendix 1 – Companies Act 1948, Table A;
Appendix 2 – Companies Act 1985, Table A;
Cadbury Report;
Greenbury Report;
Hampel Report;
FRC – Internal Control: Revised Guidance for Auditors on the Combined Code (Oct 2005);
Smith Guidance – Guidance on Audit Committees;
Higgs Report;
Combined Code 2003;
Myners Review of the Impediments to Voting UK Shares (Review of Institutional Proxy Voting);
DTI – Building Better Boards;
Quoted Companies Alliance (QCA) – Corporate Governance Guidelines for AIM Companies;
ABI – Risk Returns and Responsibility;
ABI Disclosure Guidelines;
Global Reporting Initiative Sustainability Reporting Guidelines 2002;
The OECD Guidelines for Multinational Enterprises – Revision 2000;
NAPF Statement on CSR;
Disclosure Rules;
Code of Market Conduct MAR1;
Listing Rules;
List! – Dealing with Inside Information: Advice on Good Practice;
DTI – Guidance on the OFR and Changes to the Directors’ Report;
ASB – Reporting Standard 1: Operating and Financial Review;
APB – International Standards of Auditing;
APB – Ethical Standard 5: Non-audit Services Provided to Audit Clients;
Requirements of Auditors Under the Listing Rules of the FSA (Bulletin 2004/3);
APB exposure draft re auditing OFR reports;
ICSA Notes for Guidance or Best Practice on Corporate Governance Matters:
Institutional Shareholders Committee Statements;
Association of British Insurers Guidance;
The Hermes Principles;
NAPF 2004 Corporate Governance Policy;
Directive of the European Parliament and of the Council Regulation 1606/2002/EC;
Directive of the European Parliament and of the Council Regulation 2003/6/EC;
Commission Regulation 1725/2003/EC;
Commission Directive 2003/124/EC;
Commission Directive 2003/125/EC;
Directive of the European Parliament and of the Council 2004/25/EC;
Commission Directive 2004/72/EC;
Directive of the European Parliament and of the Council 2004/109/EC;
EU Commission: Recommendation on Directors’ Remuneration;
EU Commission: Recommendation on Non-executive Directors;
EU Commission – Modernising company law and enhancing corporate governance in the EU: A plan to move forward;
DTI – The UK Approach to EU Company Law and Corporate Governance;
Hermes International Corporate Governance Principles;
CACG Commonwealth Corporate Governance Principles (1999);
FRC Guidance on Sarbanes-Oxley Act;
US Sarbanes-Oxley Act 2002;
Summary SEC Actions and Related Provisions Pursuant to the Sarbanes-Oxley Act of 2002;
SEC Material;
Final NYSE Corporate Governance Rules;
ICGN Stock Lending Code of Best Practice

Erscheint lt. Verlag 31.12.2005
Verlagsort London
Sprache englisch
Maße 155 x 246 mm
Gewicht 1400 g
Themenwelt Recht / Steuern EU / Internationales Recht
Recht / Steuern Wirtschaftsrecht Handelsrecht
ISBN-10 1-4057-1054-3 / 1405710543
ISBN-13 978-1-4057-1054-1 / 9781405710541
Zustand Neuware
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