Securities regulation in Australia and New Zealand / general editor, Gordon Walker ; editors, Brent Fisse, Ian Ramsay ; with a foreword by James D. Cox.
Material type: TextPublisher: North Ryde, N.S.W. : LBC Information Services, 1998Edition: Second editionDescription: xli, 794 pages : illustrations ; 24 cmContent type:- text
- unmediated
- volume
- 0455215944
- 9780455215945
- 346.94092 21
- KVB244.3 .S43 1998
Item type | Current library | Call number | Copy number | Status | Date due | Barcode | |
---|---|---|---|---|---|---|---|
Book | City Campus City Campus Main Collection | 346.94092 SEC (Browse shelf(Opens below)) | 1 | Available | A165140B | ||
Book | City Campus City Campus Main Collection | 346.94092 SEC (Browse shelf(Opens below)) | 1 | Available | A165145B |
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346.94092 ALI Corporate governance and investment fiduciaries / | 346.94092 MCL Law of investments / | 346.94092 SEC Securities regulation in Australia and New Zealand / | 346.94092 SEC Securities regulation in Australia and New Zealand / | 346.943043 REA Real property law in Queensland / | 346.9430438 LAN Land contracts in Queensland / | 346.9440434 ANF Residential tenancies law and practice New South Wales / |
Includes bibliographical references (pages 743-753) and index.
Select Table of Cases -- Select Table of Statutes -- Acknowledgements -- Introduction -- 1. Current Trends in Australian Securities Regulation -- 2. Securities Regulation in New Zealand: Crisis and Reform -- 3. Reforming Securities Regulation in New Zealand -- 4. A Short History of Securities Regulation in New Zealand -- 5. A Short History of Securities Regulation in Australia -- 6. The New Zealand Stock Exchange and the Securities Markets in New Zealand -- 7. The Securities Market in Australia -- 8. Securities Regulation Laws - What Are They Trying to Achieve? -- 9. The Policy Basis of Securities Regulation in New Zealand -- 10. Foreign Direct Investment in New Zealand -- 11. Public Choice Theory and Securities Regulation in New Zealand -- 12. Mandatory Corporate Disclosure Rules and Securities Regulation -- 13. Institutional Investment in Australia: Theory and Evidence -- 14. Why Have A Companies Act? -- 15. Five Phases of an Initial Public Offering in New Zealand -- 16. Offers to the Public in New Zealand -- 17. Criminal Liability of Professionals in Relation to Public Offerings of Securities -- 18. Due Diligence Reviews for Fund-raisings Under the Australian Corporations Law -- 19. Financial Reporting Regulation -- 20. The Role of the Australian Stock Exchange -- 21. Regulation of Securities Intermediaries in Australia -- 22. Secondary Market Regulation in New Zealand -- 23. The New Zealand Stock Exchange: Rights and Powers -- 24. Civil and Criminal Liability under Australian Securities Regulation: The Possibility of Strategic Enforcement -- 25. An Economic and American Perspective of Insider-trading Regulation in Australia and New Zealand -- 26. Insider Trading in New Zealand: Aspects of the Wilson Neill Case -- 27. Insider-trading Law in Australia -- 28. The International Organization of Securities Commissions -- 29. Extraterritorial Implications of Australian Securities Laws -- 30. Managers and Majorities in Takeover Regulation -- 31. The Takeover Debate in the Context of Securities Regulation in New Zealand: A Law and Economics Perspective -- 32. Futures Market Regulation in Australia -- 33. Futures Contracts: Do They Include Forwards and Swaps? -- Select Bibliography -- Contributors.
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