Hedge fund regulation by banking supervision: a comparative institutional analysis
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1. Verfasser: | |
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Format: | Abschlussarbeit Buch |
Sprache: | English |
Veröffentlicht: |
Frankfurt am Main [u.a.]
Lang
2006
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Schriftenreihe: | Europäische Hochschulschriften - Reihe V
3174 |
Schlagworte: | |
Online-Zugang: | Inhaltsverzeichnis |
Beschreibung: | 241 S. |
ISBN: | 3631548354 0820498432 |
Internformat
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adam_text | WULF ALEXANDER KAAL HEDGE FUND REGULATION BY BANKING SUPERVISION A
COMPARATIVE INSTITUTIONAL ANALYSIS PETER LANG EUROPAISCHER VERLAG DER
WISSENSCHAFTEN TABLE OF CONTENTS A. THE PROBLEM OF REGULATION 19 B. THE
APPROACH OF THE DISSERTATION 21 C. HEDGE FUNDS AND HLIS 23 I. DEFINITION
OF HEDGE FUNDS 23 1. THE JONES HEDGE FUND MODEL 26 2. THE EVOLUTION OF
HEDGE FUNDS 28 II. KEY CHARACTERISTICS OF HIGHLY LEVERAGED INSTITUTIONS
31 1. SIGNIFICANT LEVERAGE 32 2. LIMITED DIRECT PRUDENTIAL REGULATION 33
3. LIMITED DISCLOSURE REQUIREMENTS 33 D. SPECIFIC PROBLEMS OF HEDGE
FUNDS AND INVESTOR PROTECTION 33 E. THEORY OF REGULATION 37 I. THE
THEORY OF INCOMPLETE CONTRACTS 37 II. THEORY OF REGULATION- NEW
INSTITUTIONAL ECONOMICS 38 1. BASICS OF NEW INSTITUTIONAL ECONOMICS 38
A) INSTITUTIONS 39 B) BOUNDED RATIONALITY 39 C) THE ECONOMIC PARADIGM 40
D) METHODOLOGICAL INDIVIDUALISM 40 E) MAXIMIZING PROFIT 41 0 TRANSACTION
COSTS 41 2. DIFFERENCES BETWEEN NIE AND NEO-CLASSIC THEORY 42 3.
DIFFERENCES BETWEEN RELATIONAL CONTRACT AND CLASSICAL CONTRACT 43 HI.
INCOMPLETE CONTRACT THEORY AND MODERN INSTITUTIONALISM ; 44 1. PRINCIPAL
AGENT MODEL 44 A) MORAL HAZARD 45 B) ADVERSE SELECTION 46 2. PROPERTY
RIGHTS 46 13 IV. PRUDENTIAL BANK REGULATION 47 F. MODEL APPROACHES TO
HEDGE FUND REGULATION 48 I. CO-COORDINATED INTERNATIONAL CO-OPERATION 48
II. NATIONAL DIRECT REGULATION 49 III. INDIRECT REGULATION 49 IV.
PRUDENTIAL HEDGE FUND REGULATION 50 V. HYPOTHESIS 51 G. REGULATORY
APPROACHES 52 I. LONG TERM CAPITAL MANAGEMENT, L.P 52 II. MEASURES IN
RESPONSE TO LTCM 58 1. REGULATORY MEASURES 58 A) U.S. SECURITIES
EXCHANGE COMMISSION 60 B) U.K. FINANCIAL SERVICES AUTHORITY 61 C)
CONCLUSION 62 2. LEGISLATIVE MEASURES 63 A) HEDGE FUND DISCLOSURE ACT
1999 63 B) DERIVATIVES MARKET REFORM ACT 1999 64 C) CONCLUSION 64 D)
INTERNATIONAL ACCOUNTING STANDARDS COMMITTEE 66 E) U.S. - FINANCIAL
ACCOUNTING STANDARD BOARD 68 0 U.K. - ACCOUNTING STANDARDS BOARD, FSA 70
G) FRANCE 71 H) CONCLUSION 72 HI. RULES AND REGULATION IN MAJOR HEDGE
FUND JURISDICTIONS 73 1. REGULATORY PROVISIONS IN THE UNITED STATES 74
A) SECURITIES LAWS 75 B) THE SECURITIES ACT OF 1933 76 (1) PRIVATE
PLACEMENT EXEMPTION -ACCREDITED INVESTORS 77 (2) PRIVATE PLACEMENT
EXEMPTION 78 (3) DISCLOSURE REQUIREMENTS 79 (4) RESALE RESTRICTIONS 79
14 (5) PRIVATE PLACEMENT AND OFFSHORE PUBLIC OFFERINGS 80 (6) STATE
LEGISLATION - BLUE SKY REQUIREMENTS 80 C) SECURITIES EXCHANGE ACT OF
1934 80 (1) BROKERS-DEALERS AND THE ISSUER EXEMPTION 81 (2) THE AGENT
EXEMPTION 81 (3) THE FINDER EXEMPTION 82 (4) REGISTRATION 83 (5)
SOFTDOLLARING 83 D) INVESTMENT COMPANY ACT 1940 83 (1) SECTION 3(C) (1)
EXEMPTION 84 (2) SECTION 3(C) (7) EXEMPTION 86 (3) REGISTRATION 88 E)
INVESTMENT ADVISERS ACT OF 1940 88 (1) THE ADVISER EXEMPTION 88 (2)
REGISTRATION 89 (3) STATE LAW 91 0 THE COMMODITY EXCHANGE ACT OF 1974 92
(1) EXEMPTIONS 92 (2) LIMITED RELIEF 93 (3) REGISTRATION 95 G) HOT ISSUE
SECURITIES 96 H) CONCLUSION 96 2. REGULATION IN THE UNITED KINGDOM 98 A)
RULES AND REGULATIONS OF THE FSMA AND FSA 100 (1) SUPERVISION BY RISK
ASSESSMENT 100 (2) REGULATED AND PROHIBITED ACTIVITIES 101 (3)
AUTHORIZATION TO CARRY ON REGULATED ACTIVITIES 102 (A) AUTHORIZATION
REQUIREMENT - THE BUSINESS TEST 102 (B) GAINING PERMISSION TO CANY ON
REGULATED ACTIVITIES 104 (C) EXEMPTIONS 105 (4) FINANCIAL PROMOTION IN
THE UK 107 (A) REAL TIME AND NON-REAL TIME FINANCIAL PROMOTIONS 108 (B)
DIRECT OFTER FINANCIAL PROMOTIONS 109 15 (C) APPROVAL OF FINANCIAL
PROMOTIONS BY A FIRM 110 (D) COLLECTIVE INVESTMENT SCHEMES AND FINANCIAL
PROMOTION 110 (E) EXEMPTIONS 111 (5) INVESTMENT ADVICE 112 (A) MARKET
ABUSE 113 (I) THE REGULAR USER RULE 114 (II) BEHAVIOR 115 (HI) MISUSE OF
INFORMATION 115 (IV) FALSE OR MISLEADING IMPRESSIONS 117 (V) DISTORTION
118 (VI) PENALTIES FOR MARKET ABUSE 119 (B) MONEY LAUNDERING 120 (C)
OFFICIAL LISTING 121 (D) COLLECTIVE INVESTMENT SCHEMES 121 (6)
INVESTMENT BUSINESSES 123 (A) INVESTMENT MANAGEMENT FIRMS 125 (B) RULES
ON LARGE EXPOSURES RELATING TO ISD FIRMS 127 (I) RECORD KEEPING 128 (II)
CONSOLIDATED SUPERVISION 128 (7) ENFORCEMENT 129 B) CONCLUSION 130 3.
GERMANY 132 IV. REGULATORY PROPOSALS 133 1. THE BOARD OF GOVERNORS OF
THE U.S. FEDERAL RESERVE SYSTEM 135 2. HONG KONG REGULATORY FRAMEWORK
136 3. INTERNATIONAL ORGANIZATION OF SECURITIES COMMISSIONS 138 4. BASLE
COMMITTEE 146 5. BASLE COMMITTEE AND IOSCO JOINT CONSULTATIVE PAPER 148
6. CREDIT RISK MANAGEMENT POLICY GROUP 148 7. MULTIDISCIPLINARY WORKING
GROUP ON ENHANCED DISCLOSURE 153 8. COMMITTEE ON THE GLOBAL FINANCIAL
SYSTEM 155 9. INTERNATIONAL SWAPS AND DERIVATIVES ASSOCIATION 155 10.
U.S. PRESIDENT S WORKING GROUP ON FINANCIAL MARKETS 159 16 11. HEDGE
FUND INDUSTRY GROUP 163 12. THE REPORT OF THE FINANCIAL STABILITY FORUM
166 A) THE WORKING GROUP RECOMMENDATIONS 168 B) IMPLEMENTATION
PROGRESS..... 169 13. SUMMARY : 171 14. CONCLUSION 171 H. DIRECT HEDGE
FUND REGULATION 174 I. HEDGE FUND REGULATION IN THE US 177 1. SEC
REQUIRES REGISTRATION OF HEDGE FUND ADVISERS 180 A) THE SEC S RATIONALE
FOR REGULATION 181 B) RULE 203 (B) (3)-2 183 C) SUPPLEMENTAL RULE
CHANGES AND SEC REASONING 185 2. COST-BENEFIT ANALYSIS REVISITED 186 A)
REGULATION TO PREVENT INVESTOR LOSSES FROM HEDGE FUND FRAUD 186 B) .
IMPROVED INFORMATION AND COMPLIANCE CONTROLS? 189 C) COST OF REGULATORY
ARBITRAGE 191 3. A STRONGLY WORDED DISSENT 191 4. ANOTHER AVENUE OF
REGULATION? 193 II. HEDGE FUND REGULATION IN THE EU 195 1. EU DIRECTIVES
196 2. HEDGE FUND REGULATION IN THE UNITED KINGDOM 199 A) MINIMIZING
SYSTEMIC RISK 200 B) REGULATION OF HEDGE FUND MANAGERS 201 C)
RETAILIZATION OF HEDGE FUNDS IN THE UK? 201 D) THE IMPACT OF THE SEC
RULE ON UK HEDGE FUND REGULATION 202 3. HEDGE FUND REGULATION IN GERMANY
203 A) OVERLAPPING REGULATORY REGIMES OR PRE-EMPTION? 204 (1) THE OLD
BUT STILL VALID REGIME 204 (A) THE INVESTMENT COMPANIES ACT (KAGG) 205
(B) THE FOREIGN INVESTMENT ACT (AUSLLNVESTG) 207 (C) STRATEGIES TO
OVERCOME REGULATORY INFLEXIBILITY 208 (2) THE IMPACT OF THE NEW REGIME:
INVESTMENT MODERNIZATION ACT 209 17 (A) THE PRIMARY OBJECTIVE OF THE ACT
209 (B) MODERNIZING HEDGE FUND REGULATION IN GERMANY 209 (3) THE NEW
INVESTMENT ORDINANCE 212 B) DEFICITS OF GERMAN HEDGE FUND REGULATION 213
C) CONCLUSION 214 I. NORMATIVE ANALYSIS .....215 I. ANALYSIS OF MODEL
APPROACHES TO HEDGE FUND REGULATION 215 1. CO-COORDINATED INTERNATIONAL
CO-OPERATION 215 2. NATIONAL DIRECT REGULATION 216 3. INDIRECT
REGULATION 217 4. PRUDENTIAL HEDGE FUND REGULATION 217 II. HEDGE FUND
REGULATION BY BANKING SUPERVISION 218 1. THE CORE PRINCIPLES FOR
EFFECTIVE BANKING SUPERVISION 218 2. THE NEW CAPITAL ADEQUACY FRAMEWORK
219 A) - KEY ASPECTS OF BASLE II 221 (1) PILLAR 1 - MINIMUM CAPITAL
REQUIREMENTS 221 (2) PILLAR 2 - SUPERVISORY REVIEW PROCESS 221 (3)
PILLAR 3 - MARKET DISCIPLINE 222 B) IMPLEMENTATION 223 HI. CONCLUSION
223 J. BIBLIOGRAPHY 226 18
|
adam_txt |
WULF ALEXANDER KAAL HEDGE FUND REGULATION BY BANKING SUPERVISION A
COMPARATIVE INSTITUTIONAL ANALYSIS PETER LANG EUROPAISCHER VERLAG DER
WISSENSCHAFTEN TABLE OF CONTENTS A. THE PROBLEM OF REGULATION 19 B. THE
APPROACH OF THE DISSERTATION 21 C. HEDGE FUNDS AND HLIS 23 I. DEFINITION
OF HEDGE FUNDS 23 1. THE JONES HEDGE FUND MODEL 26 2. THE EVOLUTION OF
HEDGE FUNDS 28 II. KEY CHARACTERISTICS OF HIGHLY LEVERAGED INSTITUTIONS
31 1. SIGNIFICANT LEVERAGE 32 2. LIMITED DIRECT PRUDENTIAL REGULATION 33
3. LIMITED DISCLOSURE REQUIREMENTS 33 D. SPECIFIC PROBLEMS OF HEDGE
FUNDS AND INVESTOR PROTECTION 33 E. THEORY OF REGULATION 37 I. THE
THEORY OF INCOMPLETE CONTRACTS 37 II. THEORY OF REGULATION- NEW
INSTITUTIONAL ECONOMICS 38 1. BASICS OF NEW INSTITUTIONAL ECONOMICS 38
A) INSTITUTIONS 39 B) BOUNDED RATIONALITY 39 C) THE ECONOMIC PARADIGM 40
D) METHODOLOGICAL INDIVIDUALISM 40 E) MAXIMIZING PROFIT 41 0 TRANSACTION
COSTS 41 2. DIFFERENCES BETWEEN NIE AND NEO-CLASSIC THEORY 42 3.
DIFFERENCES BETWEEN RELATIONAL CONTRACT AND CLASSICAL CONTRACT 43 HI.
INCOMPLETE CONTRACT THEORY AND MODERN INSTITUTIONALISM ; 44 1. PRINCIPAL
AGENT MODEL 44 A) MORAL HAZARD 45 B) ADVERSE SELECTION 46 2. PROPERTY
RIGHTS 46 13 IV. PRUDENTIAL BANK REGULATION 47 F. MODEL APPROACHES TO
HEDGE FUND REGULATION 48 I. CO-COORDINATED INTERNATIONAL CO-OPERATION 48
II. NATIONAL DIRECT REGULATION 49 III. INDIRECT REGULATION 49 IV.
PRUDENTIAL HEDGE FUND REGULATION 50 V. HYPOTHESIS 51 G. REGULATORY
APPROACHES 52 I. LONG TERM CAPITAL MANAGEMENT, L.P 52 II. MEASURES IN
RESPONSE TO LTCM 58 1. REGULATORY MEASURES 58 A) U.S. SECURITIES
EXCHANGE COMMISSION 60 B) U.K. FINANCIAL SERVICES AUTHORITY 61 C)
CONCLUSION 62 2. LEGISLATIVE MEASURES 63 A) HEDGE FUND DISCLOSURE ACT
1999 63 B) DERIVATIVES MARKET REFORM ACT 1999 64 C) CONCLUSION 64 D)
INTERNATIONAL ACCOUNTING STANDARDS COMMITTEE 66 E) U.S. - FINANCIAL
ACCOUNTING STANDARD BOARD 68 0 U.K. - ACCOUNTING STANDARDS BOARD, FSA 70
G) FRANCE 71 H) CONCLUSION 72 HI. RULES AND REGULATION IN MAJOR HEDGE
FUND JURISDICTIONS 73 1. REGULATORY PROVISIONS IN THE UNITED STATES 74
A) SECURITIES LAWS 75 B) THE SECURITIES ACT OF 1933 76 (1) PRIVATE
PLACEMENT EXEMPTION -ACCREDITED INVESTORS 77 (2) PRIVATE PLACEMENT
EXEMPTION 78 (3) DISCLOSURE REQUIREMENTS 79 (4) RESALE RESTRICTIONS 79
14 (5) PRIVATE PLACEMENT AND OFFSHORE PUBLIC OFFERINGS 80 (6) STATE
LEGISLATION - BLUE SKY REQUIREMENTS 80 C) SECURITIES EXCHANGE ACT OF
1934 80 (1) BROKERS-DEALERS AND THE ISSUER EXEMPTION 81 (2) THE AGENT
EXEMPTION 81 (3) THE FINDER EXEMPTION 82 (4) REGISTRATION 83 (5)
SOFTDOLLARING 83 D) INVESTMENT COMPANY ACT 1940 83 (1) SECTION 3(C) (1)
EXEMPTION 84 (2) SECTION 3(C) (7) EXEMPTION 86 (3) REGISTRATION 88 E)
INVESTMENT ADVISERS ACT OF 1940 88 (1) THE ADVISER EXEMPTION 88 (2)
REGISTRATION 89 (3) STATE LAW 91 0 THE COMMODITY EXCHANGE ACT OF 1974 92
(1) EXEMPTIONS 92 (2) LIMITED RELIEF 93 (3) REGISTRATION 95 G) HOT ISSUE
SECURITIES 96 H) CONCLUSION 96 2. REGULATION IN THE UNITED KINGDOM 98 A)
RULES AND REGULATIONS OF THE FSMA AND FSA 100 (1) SUPERVISION BY RISK
ASSESSMENT 100 (2) REGULATED AND PROHIBITED ACTIVITIES 101 (3)
AUTHORIZATION TO CARRY ON REGULATED ACTIVITIES 102 (A) AUTHORIZATION
REQUIREMENT - THE BUSINESS TEST 102 (B) GAINING PERMISSION TO CANY ON
REGULATED ACTIVITIES 104 (C) EXEMPTIONS 105 (4) FINANCIAL PROMOTION IN
THE UK 107 (A) REAL TIME AND NON-REAL TIME FINANCIAL PROMOTIONS 108 (B)
DIRECT OFTER FINANCIAL PROMOTIONS 109 15 (C) APPROVAL OF FINANCIAL
PROMOTIONS BY A FIRM 110 (D) COLLECTIVE INVESTMENT SCHEMES AND FINANCIAL
PROMOTION 110 (E) EXEMPTIONS 111 (5) INVESTMENT ADVICE 112 (A) MARKET
ABUSE 113 (I) THE REGULAR USER RULE 114 (II) BEHAVIOR 115 (HI) MISUSE OF
INFORMATION 115 (IV) FALSE OR MISLEADING IMPRESSIONS 117 (V) DISTORTION
118 (VI) PENALTIES FOR MARKET ABUSE 119 (B) MONEY LAUNDERING 120 (C)
OFFICIAL LISTING 121 (D) COLLECTIVE INVESTMENT SCHEMES 121 (6)
INVESTMENT BUSINESSES 123 (A) INVESTMENT MANAGEMENT FIRMS 125 (B) RULES
ON LARGE EXPOSURES RELATING TO ISD FIRMS 127 (I) RECORD KEEPING 128 (II)
CONSOLIDATED SUPERVISION 128 (7) ENFORCEMENT 129 B) CONCLUSION 130 3.
GERMANY 132 IV. REGULATORY PROPOSALS 133 1. THE BOARD OF GOVERNORS OF
THE U.S. FEDERAL RESERVE SYSTEM 135 2. HONG KONG REGULATORY FRAMEWORK
136 3. INTERNATIONAL ORGANIZATION OF SECURITIES COMMISSIONS 138 4. BASLE
COMMITTEE 146 5. BASLE COMMITTEE AND IOSCO JOINT CONSULTATIVE PAPER 148
6. CREDIT RISK MANAGEMENT POLICY GROUP 148 7. MULTIDISCIPLINARY WORKING
GROUP ON ENHANCED DISCLOSURE 153 8. COMMITTEE ON THE GLOBAL FINANCIAL
SYSTEM 155 9. INTERNATIONAL SWAPS AND DERIVATIVES ASSOCIATION 155 10.
U.S. PRESIDENT'S WORKING GROUP ON FINANCIAL MARKETS 159 16 11. HEDGE
FUND INDUSTRY GROUP 163 12. THE REPORT OF THE FINANCIAL STABILITY FORUM
166 A) THE WORKING GROUP RECOMMENDATIONS 168 B) IMPLEMENTATION
PROGRESS. 169 13. SUMMARY : 171 14. CONCLUSION 171 H. DIRECT HEDGE
FUND REGULATION 174 I. HEDGE FUND REGULATION IN THE US 177 1. SEC
REQUIRES REGISTRATION OF HEDGE FUND ADVISERS 180 A) THE SEC'S RATIONALE
FOR REGULATION 181 B) RULE 203 (B) (3)-2 183 C) SUPPLEMENTAL RULE
CHANGES AND SEC REASONING 185 2. COST-BENEFIT ANALYSIS REVISITED 186 A)
REGULATION TO PREVENT INVESTOR LOSSES FROM HEDGE FUND FRAUD 186 B) .
IMPROVED INFORMATION AND COMPLIANCE CONTROLS? 189 C) COST OF REGULATORY
ARBITRAGE 191 3. A STRONGLY WORDED DISSENT 191 4. ANOTHER AVENUE OF
REGULATION? 193 II. HEDGE FUND REGULATION IN THE EU 195 1. EU DIRECTIVES
196 2. HEDGE FUND REGULATION IN THE UNITED KINGDOM 199 A) MINIMIZING
SYSTEMIC RISK 200 B) REGULATION OF HEDGE FUND MANAGERS 201 C)
RETAILIZATION OF HEDGE FUNDS IN THE UK? 201 D) THE IMPACT OF THE SEC
RULE ON UK HEDGE FUND REGULATION 202 3. HEDGE FUND REGULATION IN GERMANY
203 A) OVERLAPPING REGULATORY REGIMES OR PRE-EMPTION? 204 (1) THE OLD
BUT STILL VALID REGIME 204 (A) THE INVESTMENT COMPANIES ACT (KAGG) 205
(B) THE FOREIGN INVESTMENT ACT (AUSLLNVESTG) 207 (C) STRATEGIES TO
OVERCOME REGULATORY INFLEXIBILITY 208 (2) THE IMPACT OF THE NEW REGIME:
INVESTMENT MODERNIZATION ACT 209 17 (A) THE PRIMARY OBJECTIVE OF THE ACT
209 (B) MODERNIZING HEDGE FUND REGULATION IN GERMANY 209 (3) THE NEW
INVESTMENT ORDINANCE 212 B) DEFICITS OF GERMAN HEDGE FUND REGULATION 213
C) CONCLUSION 214 I. NORMATIVE ANALYSIS .215 I. ANALYSIS OF MODEL
APPROACHES TO HEDGE FUND REGULATION 215 1. CO-COORDINATED INTERNATIONAL
CO-OPERATION 215 2. NATIONAL DIRECT REGULATION 216 3. INDIRECT
REGULATION 217 4. PRUDENTIAL HEDGE FUND REGULATION 217 II. HEDGE FUND
REGULATION BY BANKING SUPERVISION 218 1. THE CORE PRINCIPLES FOR
EFFECTIVE BANKING SUPERVISION 218 2. THE NEW CAPITAL ADEQUACY FRAMEWORK
219 A) - KEY ASPECTS OF BASLE II 221 (1) PILLAR 1 - MINIMUM CAPITAL
REQUIREMENTS 221 (2) PILLAR 2 - SUPERVISORY REVIEW PROCESS 221 (3)
PILLAR 3 - MARKET DISCIPLINE 222 B) IMPLEMENTATION 223 HI. CONCLUSION
223 J. BIBLIOGRAPHY 226 18 |
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discipline_str_mv | Wirtschaftswissenschaften |
format | Thesis Book |
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genre | (DE-588)4113937-9 Hochschulschrift gnd-content |
genre_facet | Hochschulschrift |
geographic | Großbritannien (DE-588)4022153-2 gnd USA (DE-588)4078704-7 gnd Deutschland (DE-588)4011882-4 gnd |
geographic_facet | Großbritannien USA Deutschland |
id | DE-604.BV021318794 |
illustrated | Not Illustrated |
index_date | 2024-07-02T13:58:20Z |
indexdate | 2024-07-09T20:35:33Z |
institution | BVB |
isbn | 3631548354 0820498432 |
language | English |
oai_aleph_id | oai:aleph.bib-bvb.de:BVB01-014639229 |
oclc_num | 62525266 |
open_access_boolean | |
owner | DE-703 DE-M382 DE-11 DE-188 |
owner_facet | DE-703 DE-M382 DE-11 DE-188 |
physical | 241 S. |
publishDate | 2006 |
publishDateSearch | 2006 |
publishDateSort | 2006 |
publisher | Lang |
record_format | marc |
series | Europäische Hochschulschriften - Reihe V |
series2 | Europäische Hochschulschriften - Reihe V |
spelling | Kaal, Wulf Alexander Verfasser aut Hedge fund regulation by banking supervision a comparative institutional analysis Wulf Alexander Kaal Frankfurt am Main [u.a.] Lang 2006 241 S. txt rdacontent n rdamedia nc rdacarrier Europäische Hochschulschriften - Reihe V 3174 Zugl.: Berlin, Humboldt-Univ., Diss., 2005 Bank Banks and banking State supervision Hedge funds Hedge Fund (DE-588)4444016-9 gnd rswk-swf Regulierung (DE-588)4201190-5 gnd rswk-swf Großbritannien (DE-588)4022153-2 gnd rswk-swf USA (DE-588)4078704-7 gnd rswk-swf Deutschland (DE-588)4011882-4 gnd rswk-swf (DE-588)4113937-9 Hochschulschrift gnd-content USA (DE-588)4078704-7 g Hedge Fund (DE-588)4444016-9 s Regulierung (DE-588)4201190-5 s Großbritannien (DE-588)4022153-2 g Deutschland (DE-588)4011882-4 g DE-604 Europäische Hochschulschriften - Reihe V 3174 (DE-604)BV000001798 3174 GBV Datenaustausch application/pdf http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=014639229&sequence=000001&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA Inhaltsverzeichnis |
spellingShingle | Kaal, Wulf Alexander Hedge fund regulation by banking supervision a comparative institutional analysis Europäische Hochschulschriften - Reihe V Bank Banks and banking State supervision Hedge funds Hedge Fund (DE-588)4444016-9 gnd Regulierung (DE-588)4201190-5 gnd |
subject_GND | (DE-588)4444016-9 (DE-588)4201190-5 (DE-588)4022153-2 (DE-588)4078704-7 (DE-588)4011882-4 (DE-588)4113937-9 |
title | Hedge fund regulation by banking supervision a comparative institutional analysis |
title_auth | Hedge fund regulation by banking supervision a comparative institutional analysis |
title_exact_search | Hedge fund regulation by banking supervision a comparative institutional analysis |
title_exact_search_txtP | Hedge fund regulation by banking supervision a comparative institutional analysis |
title_full | Hedge fund regulation by banking supervision a comparative institutional analysis Wulf Alexander Kaal |
title_fullStr | Hedge fund regulation by banking supervision a comparative institutional analysis Wulf Alexander Kaal |
title_full_unstemmed | Hedge fund regulation by banking supervision a comparative institutional analysis Wulf Alexander Kaal |
title_short | Hedge fund regulation by banking supervision |
title_sort | hedge fund regulation by banking supervision a comparative institutional analysis |
title_sub | a comparative institutional analysis |
topic | Bank Banks and banking State supervision Hedge funds Hedge Fund (DE-588)4444016-9 gnd Regulierung (DE-588)4201190-5 gnd |
topic_facet | Bank Banks and banking State supervision Hedge funds Hedge Fund Regulierung Großbritannien USA Deutschland Hochschulschrift |
url | http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=014639229&sequence=000001&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA |
volume_link | (DE-604)BV000001798 |
work_keys_str_mv | AT kaalwulfalexander hedgefundregulationbybankingsupervisionacomparativeinstitutionalanalysis |