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EU Prospectus Law
New Perspectives on Regulatory Competition in Securities Markets
Topical analysis of EU prospectus law and the European Securities and Markets Authority which offers new perspectives on regulatory competition.
Pierre Schammo (Author)
9780521517652, Cambridge University Press
Hardback, published 19 May 2011
416 pages
23.5 x 16 x 2.5 cm, 0.77 kg
Pierre Schammo provides a detailed analysis of EU prospectus law (and the 2010 amendments to the Prospectus Directive) and assesses the new rules governing the European Securities and Markets Authority, including the case law on the delegation of powers to regulatory agencies. In a departure from previous work on securities regulation, the focus is on EU decision-making in the securities field. He examines the EU's approach to prospectus disclosure enforcement and its implementation at Member State level and breaks new ground on regulatory competition in the securities field by providing a 'law-in-context' analysis of the negotiations of the Prospectus Directive.
Introduction
Part I. Prospectus Disclosure in a Wider Institutional Context: 1. Actors and institutions
Part II. Prospectus Disclosure Regulation: 2. Introduction
3. (Maximum) harmonisation
4. Equivalence-based regulation
Part III. Prospectus Disclosure Enforcement: 5. Introduction
6. Prospectus disclosure enforcement – strategy and arrangements
7. Prospectus disclosure enforcement – national implementation
Part IV. Prospectus Disclosure and Regulatory Competition: 8. Introduction
9. Regulatory competition and EU decision-making
10. Regulatory competition and the Prospectus Directive: the issuer choice policy dispute
11. Conclusions and suggestions for the future.
Subject Areas: Banking law [LNPB], Financial law [LNP], Company, commercial & competition law [LNC], Law [L]