A Practitioner’s Guide to Inside Information presents comprehensive guidance on the uk regulatory environment relating to inside information. It draws together all the strands of what is a complex legislative and regulatory maze, advising on effective risk management and explaining how to build appropriate systems and controls. This new edition has been significantly revised to deal with the recent corporate governance code, the takeover directive, the review of the market abuse directive and the FSA’s current, more aggressive stance on enforcement.
Provides expert commentary on the current UK legislative and regulatory requirements relating to inside information
The book addresses the law and regulation with respect to inside information found in FSMA, the FSA Handbook, various exchange rules, the Takeover Code and civil and criminal law
Includes coverage of the FSA, Takeover Code, Corporate Governance Code and other civil and criminal issues, and how they interact
Gives the reader detailed guidance on the establishment and maintenance of appropriate systems and controls and the steps to take to ensure effective risk management
Includes important guidance on US securities laws and how these impact on UK listed companies
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