EU Securities and Financial Markets Regulation

EU Securities and Financial Markets Regulation

by Niamh Moloney
EU Securities and Financial Markets Regulation

EU Securities and Financial Markets Regulation

by Niamh Moloney

Hardcover(4th ed.)

$255.00 
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Overview

Over the decade or so since the global financial crisis rocked EU financial markets and led to wide-ranging reforms, EU securities and financial markets regulation has continued to evolve. The legislative framework has been refined and administrative rulemaking has expanded. Alongside, the Capital Markets Union agenda has developed, the UK has left the EU, and ESMA has emerged as a decisive influence on EU financial markets governance. All these developments, as well as the Covid-19 pandemic, have shaped the regulatory landscape and how supervision is organized.

EU Securities and Financial Markets Regulation provides a comprehensive, critical, and contextual account of the intricate rulebook that governs EU financial markets and its supporting institutional arrangements. It is framed by an assessment of how the regime has evolved over the decade or so since the global financial crisis and considers, among other matters, the post-crisis reforms to key legislative measures, the massive expansion of administrative rulemaking and of soft law, the Capital Markets Union agenda, the development of supervisory convergence as the means for organizing pan-EU supervision, and ESMA's role in EU financial markets governance.

Its coverage extends from capital-raising and the Prospectus Regulation to financial market intermediation and the MiFID II/MiFIR and IFD/IFR regimes, to the new regulatory regimes adopted since the global financial crisis (including for benchmarks and their administrators), to retail market regulation and the PRIIPs Regulation, and on to the EU's third country regime and the implications of the UK's departure from the EU.

This is the fourth edition of the highly successful and authoritative monograph first published as EC Securities Regulation. Heavily revised from the third edition to reflect developments since the global financial crisis, it adopts the in-depth contextual and analytical approach of earlier editions and so considers the market, political, institutional, and international context of the regulatory and supervisory regime.

Product Details

ISBN-13: 9780198844877
Publisher: Oxford University Press
Publication date: 06/29/2023
Series: Oxford European Union Law Library
Edition description: 4th ed.
Pages: 992
Product dimensions: 7.09(w) x 10.00(h) x 2.36(d)

About the Author

Niamh Moloney, Professor of Financial Markets Law, London School of Economics and Political Science

Niamh Moloney is Professor of Financial Markets Law at the London School of Economics and Political Science. She is a Fellow of the British Academy and an Honorary Member of the Royal Irish Academy and holds an honorary doctorate from the University of Zurich.

Table of Contents

1. The institutional setting2. Capital-raising3. Collective-investment management4. Investment firms and investment services5. Trading venues6. Trading7. Rating agencies8. Market abuse9. Retail markets10. Third countries
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