Regulatory Risk
The regulatory risk series maps the dynamics of financial regulation and the impact of global reform agendas on corporate governance and corporate responsibility. It collates the diverse and at time conflicting imperatives associated with market conduct and prudential regulation within individual jurisdictions and evaluates the difficulties associated with integrating these agendas at national, regional and global levels.
The Financial System Inquiry and the Importance of Human Systems over Technical Systems
Benchmark Reform and the Future of Financial Regulation
Commissioner Almunia's Parting Shot
Superannuation Needs a Better Regulator, not More Rules
Shadow Banking in the G20 Agenda: Shining a Light on Regulatory Reform
Got Your Licence, Buddy?
Increasing Financial Regulatory Predictability through Optimizing Business Strategy
The fiduciary duty to protect: the forgotten duty in pension fund investment
The fiduciary duty to protect: the forgotten duty in pension fund investment
Author: Youngdahl, Jay
Source: Law and Financial Markets Review, Volume 8, Number 3, September 2014, pp. 241-248(8)
http://dx.doi.org/10.5235/17521440.8.3.241
Originally Published:
Tuesday, September 30, 2014
Insider trading enforcement in Australia
Insider trading enforcement in Australia
Authors: Lei, Victor; Ramsay, Ian
Source: Law and Financial Markets Review, Volume 8, Number 3, September 2014, pp. 214-226(13)
http://dx.doi.org/10.5235/17521440.8.3.214
Originally Published:
Tuesday, September 30, 2014