How to Protect Investors : Lessons from the EC and the UK
Book Details
Format
Hardback or Cased Book
ISBN-10
0521888700
ISBN-13
9780521888707
Publisher
Cambridge University Press
Imprint
Cambridge University Press
Country of Manufacture
GB
Country of Publication
GB
Publication Date
Jan 21st, 2010
Print length
500 Pages
Weight
900 grams
Dimensions
23.50 x 15.90 x 2.70 cms
Ksh 34,550.00
Manufactured on Demand
0 in stock
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A critical and contextual examination of why and how retail investors should be protected, based on EC investor-protection law and policy and on the domestic UK experience, and placed in the context of the financial crisis; of interest to regulators, policy-makers and legal academics.
As governments around the world withdraw from welfare provision and promote long-term savings by households through the financial markets, the protection of retail investors has become critically important. Taking as a case study the wide-ranging EC investor-protection regime which now governs EC retail markets after an intense reform period, this critical, contextual and comparative examination of the nature of investor protection explores why the retail investor should be protected, whether retail investor engagement with the markets should be encouraged and how investor protection laws should be designed, particularly in light of the financial crisis. The book considers the implications of the EC''s investor protection rules ''on the books'' but also considers investor protection law and policy ''in action'', drawing on experience from the UK retail market and in particular the Financial Services Authority''s extensive retail market activities, including the recent Retail Distribution Review and the Treating Customers Fairly strategy.
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