Journal of Financial Regulation and Compliance: Volume 4 Issue 4

Subject:

Table of contents

REGULATION AND INSOLVENT BANKS

ANDREW WILKINSON, DERMOT TURING

Bank regulation tends to develop as a reaction to bank insolvencies. Much of the detail of regulatory measures, comprising EU Directives, statute and guidance from the Bank of…

STRUCTURING POOLED FUNDS TO INCLUDE US INSTITUTIONAL INVESTORS

GEOFFREY R.T. KENYON, PETER MARSHALL

Pooled investment funds are an extremely important component of the institutional investment management business, serving as a critical tool for achieving diversification and…

STATE AID AND BANKING ACTIVITIES: THE IMPACT OF EUROPEAN COMMUNITY LAW

MARC DASSESSE

The purpose of the present paper is not to review the rules applicable whenever a member state wishes, in a straightforward manner, to grant financial aid to a credit institution…

US CFTC ISSUES ADVISORY APPLICABLE TO CPOS OF OFFSHORE COMMODITY POOLS

M. HOLLAND WEST, DIANE M. DICKENSHEID

This paper first generally describes the requirements under US federal law to register as a commodity pool operator (CPO), and the disclosure, reporting and record keeping…

THE DISCLOSURE REGIME FOR UNIT TRUSTS AND OTHER NON‐LIFE PRODUCTS

COLIN HAWTIN

In July 1994, following a lengthy development period, new rules were announced for the disclosure of information in the case of life and pensions products. The new rules, which…

THE DYNAMICS OF INTERNATIONAL BANK REGULATION

ATUL K. SHAH

For many years, the banking industry has required close supervision owing to its central yet delicate role in economic life. In a short time, the business has moved from a local…

THE BROKER‐DEALER EXAMINATION PROGRAMME OF THE SEC

MARY ANN GADZIALA

The examination of broker‐dealers is an integral part of the United States Securities and Exchange commission's overall responsibility to enforce securities laws, protect…

RESTRICTION ON AGENT'S RENEWAL COMMISSION: AN UNREASONABLE RESTRAINT OF TRADE MARSHALL v N.M. FINANCIAL MANAGEMENT LTD.: (HIGH COURT CHANCERY DIVISION) JONATHAN SUMPTION QC SITTING AS DEPUTY HIGH COURT JUDGE

The Plaintiff, a self‐employed sales agent, was engaged on 21st November, 1980 by the Defendant, a financial services company selling life assurance and pension policies. The…

REGULATORY UPDATE

Annual Report 1995—1996 The Securities and Investments Board (SIB) has published its Annual Report for the period 1st April, 1995, to 31st March, 1996. It contains a review of…

Cover of Journal of Financial Regulation and Compliance

ISSN:

1358-1988

Online date, start – end:

1992

Copyright Holder:

Emerald Publishing Limited

Open Access:

hybrid

Editor:

  • Prof John Ashton