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Written by exceptionally experienced practitioners in the field of
finance, this enormously expert work is the ultimate answer to all
questions anybody could ask about the law of financial collateral
in England and Scotland, a stupendous achievement.' - Philip R.
Wood, CBE, QC (Hon), Special Global Counsel, Allen & Overy LLP,
London, UKAs the volume of transactions in European financial
markets continues to grow, the use of financial collateral, be it
in the form of cash, shares, bonds or credit claims, has become a
critical tool in supporting and managing risk in financial
transactions. This book is the first of its kind to offer a
systematic examination of the whole law relating to financial
collateral. It does so in two parts. First, it explains the law
created by the Financial Collateral Arrangements (No 2) Regulations
2003, the Directive it implemented and related legislation. Second,
it examines how financial collateral is used in practice in a range
of different markets. It will be an essential reference point for
all legal practitioners operating in financial markets. Key
features: - Analytical rigour combined with insight into how
financial collateral works in practice, covering both English and
Scots law - Valuable discussion of control and possession tests,
right of use, remedy of appropriation, close-out netting and impact
of 'bail-in' - Explains use of financial collateral in the
derivatives market, clearing houses, direct and indirect securities
holding systems and use of repos, securities lending and prime
brokerage - Highlights key issues on regulatory treatment and
conflicts of laws - Discusses direction of future law reform -
Written by leading experts in the field.
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Zoning (Hardcover)
Bassett Edward Murray
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R680
Discovery Miles 6 800
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Ships in 10 - 15 working days
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