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The third volume of this yearbook provides articles, comments, and
analyses of developments throughout 1998. A special focus section
highlights the most significant legal issues raised by the
formation of a single currency in the ongoing process of economic
and monetary union in the European Union. Commentary is provided on
subjects including international financial standards and the
transition economies, legal and practical aspects of recovering
debt from Russian financial institutions, New Zealand's alternative
approach to banking supervision, and regulation of foreign bank
access in China. Recent developments, as with previous editions,
cover all major areas of the world. This year includes analysis of
China's new securities law, the development of the Financial
Supervisory Authority in the UK, regional integration and trade
liberalization in southern Africa, and problems created by
government intervention in the Hong Kong stock market. This volume
should be useful to anyone with an interest in international
financial and economic law throughout the world.
This volume is comprised of a collection of papers dealing with
various aspects of cross-border secured transactions, an important
issue in the development of emerging financial markets and
transitional market economies. A sound legal framework for lenders
to effect and enforce secured transactions is called for in order
to establish an investor-friendly climate. Special attention is
paid to the EBRD Model Law on secured transactions, the UNCITRAL
Draft Convention on Assignment in Receivables Financing, and the
UNIDROIT model. The papers stress the importance to the transition
process of the development of a modern framework for secured
transactions.
With the growth in financial activity in and between the People's
Republic of China, the Republic of China or Taiwan and the Hong
Kong Special Administrative Region, an understanding of the
development and status of financial law and regulation in the
Chinese Economic Circle is increasingly important. This book
provides an overview of the most significant areas of financial
regulation in the Greater China Area, bringing together expert
essays on banking, insurance, securities and general financial law
in the PRC, banking and insurance in Taiwan, and financial law in
Hong Kong. This work collects in a single volume, the significant
history and development of financial law within the Greater China
Area, providing an insight into the development and relationship of
these three diverse but inter-related financial systems.
The fourth volume of this Yearbook provides essays, articles,
comments and analyses of developments throughout the previous year.
The new essay section of this volume is contributed by Shangquan
Gao, Senior Professor in the State Council of PRC who examines the
negative influence of the Asian financial crisis on China.
Professor Eva Holz, Deputy Governor at Uruguayan Central Bank, Dr
Michael Gruson, Senior Banking Partner at Shearman & Sterling,
and Professor Geoffrey Wood of City University are some of the
contributors of major articles in the edition. One of the salient
features of the volume is that it focuses on new developments in
post-financial crisis restructuring measures taken by various
countries, such as PRC, Brazil and Japan. Complementary to this
issue, globalization, international financial stability, and
international capital flows are also discussed comprehensively. The
period covered by the volume has witnessed major financial and
economic law reform projects in various areas of the world. The
volume offers comprehensive analysis of these reforms including the
Gramm-Leach-Bliley Act of 1999 in the US and its influence on the
global financial sector, progress in collateral law reform in
Central and Eastern Europe, the development of securities law and
the Internet in the UK, commercialization of China's land use
right, reform of Hong Kong property tax system, and legal changes
in Japanese asset securitisation and investment. Some issues are
re-explored in this volume from new and different perspectives. The
discussion of the integration of insurance and other financial
services in Taiwan, of the Lender of Last Resort, of the solutions
to the non-performing loan problems in China, of capital adequacy
under the Basle new capital adequacy framework, and sovereign debt
restructuring in Latin America will offer the readers new insights
into these issues. This volume should appeal to anyone with an
interest in international financial and economic law throughout the
world. Its broad geographic scope and the expertise of the
contributors offer an indispensable chance for the readers to keep
abreast with developments in a rapidly changing area of the law.
This text draws together contributions of leading international
legal scholars respecting major themes of the future of
international law in the 21st century. The papers have been
collected in honour of the late Professor Kenneth R. Simmonds,
former Director of the British Institute of International and
Comparative Law and Professor of Law at Queen Mary and Westfield
College, University of London. The book is divided into three
parts: public international law; international dispute resolution;
and European and other regional integration, which constitute the
important themes and currents in contemporary international law.
The sections also represent the areas that were of personal
interest to Professor Simmonds and in which he was a leading
contributor until his death.
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