This book explains how to deal with legal, compliance, and enforcement issues faced by banks and other financial institutions and their legal advisers.
This book explains how to deal with legal, compliance, and enforcement issues faced by banks and other financial institutions and their legal advisers.
Since the global financial crisis of 2008, claims by clients, shareholders, depositors, and bondholders of financial firms have increased against financial supervisors and resolution authorities for inadequate supervision or resolution action.
This book is the first comprehensive study of the interplay between the cutting-edge regulation of financial infrastructure and international economic integration.