Buch, Englisch, 594 Seiten, Format (B × H): 156 mm x 234 mm
Buch, Englisch, 594 Seiten, Format (B × H): 156 mm x 234 mm
ISBN: 978-1-904501-37-4
Verlag: Richmond Law & Tax
Rapid growth in financial services regulation in many countries has led to demand for high quality data about agencies and institutions involved in national and international regulation of securities markets. This major new publication provides detailed, consistently presented information for some 400 institutions globally. It covers organizations with regulatory responsibilities, whether primary or secondary, for the securities markets on both national and international levels.
Invaluable data provided for each institution include:
- Scope of Regulation
- Legal Basis
- Financing
- Key Personnel and Organizational Structure
- History
- Current Regulatory Developments
- Regulatory Objectives
- Activities and Implementation
- Measures to Ensure Compliance
- Accountability
- Complaints and Redress
- Relationships with other Regulatory Bodies
- Principal Publications
The information provided for each regulatory body has been reviewed by a leading law firm in each jurisdiction.
This major new publication provides detailed, consistently presented information for some 400 institutions globally. It covers organizations with regulatory responsibilities, whether primary or secondary, for the securities markets on both national and international levels.




