The aim of the compliance section of The International Journal of Regulatory Law & Practice is that it be informative, analytical and relevant. This is based on the belief that corporate compliance should not merely be a matter of interest to compliance officers, but of interest to all those working in the financial services industry, in whatever capacity. Because the Journal intends to be responsive to issues of contemporary concern and to reflect matters of interest to all its subscribers, it welcomes suggestions for contributions. Enquiries should be made to the Compliance Editor, The International Journal of Regulatory Law &: Practice, Henry Stewart Publications, 2/3 Cornwall Terrace, London, UK, NW1 4QP.
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