Market Abuse Regulation

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319,98 €
303,98 €
AGGIUNGI AL CARRELLO
NOTE EDITORE
Now a volume in the Oxford EU Financial Regulation Series, the second edition of Market Abuse Regulation has been updated to reflect the impact of a number of major developments in legislation and case law following the implementation of the EU Market Abuse Regulation (MAR). Written by leading scholars in the field of capital markets law from a number of European jurisdictions, the book is divided into two main parts. The first consists of chapters considering relevant issues by topic, including aspects not directly addressed by MAR such as enforcement, and the impact of US securities regulation. The second part provides article-by-article commentary on the Regulation, with a detailed and technical analysis of its terms. Both parts have been updated to reflect important developments such as amendments to directives and new regulations regarding the promotion of the use of SME growth markets. The second edition includes additional chapters on sanctions. One new chapter deals exclusively with the criminal sanctions (including CRIM-MAD), and another addresses in much greater detail private enforcement in key jurisdictions (France, Germany, Italy, the Netherlands and Spain), which is neither addressed by the MAR nor harmonized by other European legislation. This chapter on private enforcement is also accompanied by another dealing with aspects of private international and international civil procedural law. The existing chapters have also been updated to bring them fully up to date.

SOMMARIO
A1 - History, Application, Interpretation, and Legal Sources of the Market Abuse RegulationA2 - The Concept of Insider DealingA3 - The Concept of Market ManipulationA4 - Public Disclosure of Inside Information and Market AbuseA5 - Public Enforcement of the Market Abuse RegulationA6 - Private Enforcement of the Market Abuse Regulation in European Law (Austria and Germany; France; Italy; The Netherlands; Spain)A7 - Market Abuse Regulation in International Jurisdiction and Conflict of LawsA8 - Criminal SanctionsB1 - General ProvisionsB2 - Inside Information, Insider Dealing, Unlawful Disclosure of Inside Information, and Market ManipulationB3 - Disclosure RequirementsB4 - ESMA and Competent AuthoritiesB5 - Administrative Measures and SanctionsB6 - Delegated Acts and Implementing ActsB7 - Final Provisions

AUTORE
Marco Ventoruzzo is Full Professor of Business Law at Bocconi University in Milan and Full Professor of Law at Penn State Law School (where is also an Affiliated Professor at the School of International Affairs). He has directed the Max Planck Institute of Luxembourg on financial markets regulation and is currently a scientific member of this Institution. Sebastian Mock is Professor of Business law at Vienna University of Economics and Business - Institute for Civil and Civil Procedural Law. He was previously lecturer in the Faculty of Law at the University of Hamburg, where he teaches on German and European company law and the law of obligations, and is a member of the New York bar. The contributors are some of the leading scholars in the field of capital market law from a number of European jurisdictions.

ALTRE INFORMAZIONI
  • Condizione: Nuovo
  • ISBN: 9780198871095
  • Collana: Oxford EU Financial Regulation
  • Dimensioni: 252 x 42.0 x 177 mm Ø 1400 gr
  • Formato: Copertina rigida
  • Pagine Arabe: 720