Rothwell | Handbook of Investment Administration | Buch | 978-0-470-03362-3 | www.sack.de

Buch, Englisch, 528 Seiten, Format (B × H): 153 mm x 228 mm, Gewicht: 748 g

Rothwell

Handbook of Investment Administration


1. Auflage 2007
ISBN: 978-0-470-03362-3
Verlag: Wiley

Buch, Englisch, 528 Seiten, Format (B × H): 153 mm x 228 mm, Gewicht: 748 g

ISBN: 978-0-470-03362-3
Verlag: Wiley


Investment Administration has a key role to play in the many and varied investment products and services that are available in the retail investment marketplace. Kevin Rothwell’s Handbook of Investment Administration provides a comprehensive and readable source of both background and practical information for the practitioner. The Handbook takes the main aspects of investment administration and drills down into the detail of these from a retail perspective. It covers areas that are unique to the private client business such as trusts. It explains the background on why processes are undertaken providing as essential reference aid for the practitioner.

Key features include:

- A full range of Investment Administration functions from New Business to Settlement through to Corporate Actions.
- Specialist areas such as Trusts and Charities are covered in depth.
- Concise introduction to each subject providing interesting background information, followed by a detailed review.
- Essential reading for candidates undertaking Securities & Investment Institute IAQ exams examinations.

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Autoren/Hrsg.


Weitere Infos & Material


About the Author xiii

Introduction xv

Part I: Introductory Elements 1

1 Wealth Management 3

1.1 Introduction 4

1.2 Wealth management market 5

1.3 Types of business 7

1.4 Investment services and products 11

1.5 Investment firms 19

1.6 Investment administration 27

Part II: Investment Administration 31

2 New and Closing Business 33

2.1 Introduction 34

2.2 New business 35

2.3 Client types 38

2.4 Know your customer 42

2.5 Agreements 46

2.6 Account opening 47

2.7 Money laundering 49

2.8 Validating the assets 52

2.9 Transferring assets 55

2.10 Raising assets 57

2.11 Closing business and transfers 59

2.12 Death of a client 67

3 Trading 77

3.1 Introduction 78

3.2 Stock market developments 79

3.3 Equity trading 81

3.4 Bond trading 94

3.5 Regulation 100

4 Settlement 107

4.1 Introduction 108

4.2 Fundamentals of settlement 108

4.3 Settlement process 123

4.4 UK settlement 129

4.5 International settlement 145

5 Corporate Actions 151

5.1 Introduction 152

5.2 Corporate actions industry 152

5.3 Types of event 154

5.4 Private client corporate action processing 160

5.5 Corporate events 172

5.6 Income events 190

Part III: other Considerations 207

6 Custody 209

6.1 Introduction 210

6.2 Protection of client assets 210

6.3 Segregation of safe custody assets 211

6.4 Use of a custodian 212

6.5 Nominee companies 213

6.6 Global custodians 215

6.7 Selecting a custodian 216

6.8 Custody agreements and SLAs 218

6.9 Reviewing the suitability of custodians 221

7 Tax 225

7.1 Introduction 226

7.2 Income tax 226

7.3 Tax treatment of dividends 231

7.4 Capital gains tax 238

7.5 Residence and domicile 247

7.6 Withholding tax 250

7.7 EU savings directive 256

8 Powers of Attorney 259

8.1 Introduction 260

8.2 Background 260

8.3 Parties and terminology 261

8.4 Enduring power of attorney 263

8.5 Receiverships 269

8.6 Mental capacity act 2005 273

8.7 Administration 275

9 Outsourcing 285

9.1 Introduction 286

9.2 Development of outsourcing 287

9.3 Risks associated with outsourcing 289

9.4 Regulatory principles 294

Part IV: Investment Accounts And Products 303

10 Individual Savings Accounts (isas) 305

10.1 Introduction 306

10.2 Development of ISAs and PEPs 306

10.3 Organisation and regulation 308

10.4 Individual savings accounts 314

10.5 Allowable investments 318

10.6 New and closing business 319

10.7 Voids and repairs 326

10.8 Residence 329

10.9 Investor reporting 332

10.10 Reform of the ISA regime 336

11 Collective Investment Schemes 339

11.1 Introduction 340

11.2 Regulation of UK funds 341

11.3 Types of UK funds 344

11.4 Fund administration 349

11.5 Pricing 350

11.6 Dealing and settlement 355

11.7 Share register 357

11.8 Dividend and interest distributions 358

11.9 Investor reporting 360

12 Trusts 363

12.1 Introduction 364

12.2 Development of trusts 364

12.3 Fundamentals of trusts 367

12.4 Investment administration 386

13 Charities 399

13.1 Introduction 400

13.2 What is a charity? 400

13.3 Legal background to investment by charities 402

13.4 Trustee investment powers and duties 406

13.5 Investment policy 411

13.6 Appointing an investment manager 413

13.7 Common investment funds 415

13.8 Use of nominees and custodians 416

14 Self-invested Personal Pensions 419

14.1 Introduction 420

14.2 Development of SIPPs 421

14.3 What is a SIPP? 423

14.4 Setting up a SIPP 425

14.5 Eligibility and contributions 426

14.6 Permitted investments 426

14.7 Benefits 428

15 Derivative Products 431

15.1 Introduction 432

15.2 Types of derivatives 433

15.3 Uses of derivates 438

15.4 Derivatives markets 440

15.5 Structured products 444

15.6 Covered warrants 451

15.7 Exchange traded commodities 457

15.8 Contracts for difference 459

Glossary 463

Bibliography 481

Reading Material 483

Index 487


Kevin Rothwell has spent his entire working life within the Financial Services Industry and his hands-on experience has given him a detailed knowledge of such areas as private client investment management, investment administration and dealing, settlement and custody. He has held senior posts in both front office and back office positions with and has undertaken a varied portfolio of investment projects.

More recently Kevin has set up his own company that excels in providing specialised and bespoke consultancy and training for a number of large financial institutions both at home and abroad.

Already a Fellow of the Securities and Investment Institute, he was delighted to have been made a Senior Technical Advisor for them. As well as teaching towards the Securities and Investment Institutes post-graduate Diploma in Investment Operations, Kevin is also the author of International Certificate in Financial Advice Workbook which is published by the SII.



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