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Asset Management and Investor Protection

An International Analysis
BuchGebunden
304 Seiten
Englisch
Sydney University Presserschienen am16.01.2003
This comparative survey of European and US consumer protection schemes offers detailed information on how much protection investors really have in these troubled times. Consumer confidence is at a low ebb as consumers feel unprotected, a result of disasters involving companies such as Enron.mehr
Verfügbare Formate
BuchKartoniert, Paperback
EUR81,70
BuchGebunden
EUR96,00

Produkt

KlappentextThis comparative survey of European and US consumer protection schemes offers detailed information on how much protection investors really have in these troubled times. Consumer confidence is at a low ebb as consumers feel unprotected, a result of disasters involving companies such as Enron.
Details
ISBN/GTIN978-0-19-925709-6
ProduktartBuch
EinbandartGebunden
FormatGenäht
Erscheinungsjahr2003
Erscheinungsdatum16.01.2003
Seiten304 Seiten
SpracheEnglisch
MasseBreite 162 mm, Höhe 242 mm, Dicke 25 mm
Gewicht574 g
Artikel-Nr.13717076
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Inhalt/Kritik

Inhaltsverzeichnis
1. Introduction ; 2. The Policy Implications ; 3. Summary of Research Findings ; 4. The Assets under Management: Europe and the USA ; 5. The Industry Structure: Europe and the USA ; 6. The Regulatory Framework ; 7. The Regulation of Investment Management Services in the USA ; 8. The Basel Committee's Proposals on a Capital Charge for Operational Risk ; 9. Survey of European Asset Managers ; 10. A Case Study in Authorized Collective Schemes ; 11. Literature Reviewmehr

Autor

Julian Franks is Corporation of London Professor of Finance at the London Business School. He was formerly the Director of the Institute of Finance & Accounting; Visiting Associate Professor, Universities of North Carolina and California (Berkeley); and Visiting Professor, University of California at Los Angeles.

Colin Mayer is Peter Moores Professor of Management Studies at the Saïd Business School and Director of the Oxford Financial Research Centre. His current research is on the relation between financial systems and economic performance, the financing of high technology firms and large investment projects, and the evolution of ownership and control of firms. He has written widely on corporate finance, taxation and governance, and on the regulation of financial markets.



Luis Correia da Silva is Director of Oxford Economic Research Associates Ltd. His main area of specialization is in the financial aspects of regulation and competition policy cases. He is also an expert on cost of capital, corporate governance, and other corporate finance issues.He has undertaken work for various financial services clients, such as the London Stock Exchange, the European Asset Management Association (EAMA), and the Financial Services Authority (FSA). He also advises utilities and regulators in the UK and abroad.