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Иностранные языки: учебные пособия Иностранные языки: учебные пособия
Школа английского Школа английского


Legal Risk in the Financial Markets

Автор:   McCormick R.
твердый переплет
322 страниц
2006 год
Издательство:   Oxford University Press
11215 руб
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Описание:- The only book of its kind on this topical issue - Timely publication ahead of the new Basel II regime - Considers practical issues concerning management of legal risk - A highly respected author and name in financial law This timely new book explains what legal risk means in the context of the financial markets and why concerns about legal risk have grown in recent years. McCormick traces the origins of legal risk as a phenomenon in the global financial markets, particularly in the UK market, addressing how concerns about it have been dealt with in light ofbeen landmark cases such as Hazell v Hammersmith & Fulham and Re Charge Card. The formation of The Legal Risk Review Committee by the Bank of England and the work of similar organizations, the Financial Law Panel at the Financial Markets Law Committee are considered. The book analyses the principal components of legal risk, i. e. litigation/regulatory action risk and defective documentation, as well as related risks, such as reputational risk and political risk. Analytical consideration is also given to current and recent legal risk concerns (in relation to e. g. conflicts of interest, securities held through intermediaries, compliance with anti-terrorism/money-laundering laws, settlement risk etc. ) as well as older issues regarding the efficacy of close-out, and multilateral, netting arrangements and insolvency set-off and related legislation and case law. The book also features a section on the management of legal risk including the role of in-house counsel and compliance and the related regulatory aspects. It also considers how legal risk is intended to be addressed as part of operational risk under the new Basel II regulatory regime.

Orthomol Immun Junior Сила иммунитета на страже Вашего ребенка Orthomol Immun Junior Сила иммунитета на страже Вашего ребенка

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Dogs and Demons

The financial markets in Tokyo trembled at the verdict. At his peak in 1990, the toad controlled more than $10 billion in financial instruments, making its owner the world's largest individual stock investor. Madame Nui was also the world's largest individual bank borrower. «From the mouth of the toad,» she proclaimed, «comes money,» and she seems to have called considerable Chinese and Indian sorcery into play, for she parlayed a small initial set of loans made in 1986 into a vast financial empire. By 1991, in addition to IBJ, which lent Nui ¥240 billion to buy IBJ bonds, twenty-nine other banks and financial institutions had extended her loans totaling more than ¥2.8 trillion, equal to about $22 billion at the time. Onoe Nui was riding the success of the so-called Bubble, when Japanese investors drove stocks and real estate to incredible heights in the late 1980s. In 1989, the capitalization of the Tokyo Stock Exchange (TSE) stood slightly higher than that of the New York Stock Exchange; real-estate assessors reckoned that the grounds of the Imperial Palace in Tokyo were worth more than all of California; the Nikkei index of the TSE rose to 39,000 points in the winter of 1989, after almost a decade of continuous climb ...»

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