Investor protection in Europe: corporate law making, the MiFID and beyond
Gespeichert in:
Format: | Buch |
---|---|
Sprache: | English |
Veröffentlicht: |
Oxford [u.a.]
Oxford Univ. Press
2006
|
Ausgabe: | 1. publ. |
Schlagworte: | |
Online-Zugang: | Inhaltsverzeichnis |
Beschreibung: | XXVI, 509 S. graph. Darst. |
ISBN: | 0199202915 9780199202911 |
Internformat
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Contents
Abbreviations xiii xvii
The Contributors xix xxvi
Part 1: Institutional Structure, Regulatory Competition
and Regulatory Strategies 1
Chapter 1: The Economics and Politics of Corporate Governance
in the European Union
by Dennis C. Mueller 3
A. Introduction 3
B. Corporate Governance and Economic Performance 4
C. Institutional Explanations for Differences in Performance 15
D. Is There a Best Corporate Governance System? 20
E. Are Corporate Governance Systems Converging? 21
F. Will Corporate Governance Systems Achieve a Full Convergence? 22
Chapter 2: Political Yardstick Competition and Corporate Governance
in the European Union
by Pierre Salmon 31
A. Introduction 32
B. Selected Features of Yardstick Competition Among Governments 33
C. The Peculiar Path Borrowed by European Integration 37
D. Corporate Law and Yardstick Competition Among EU Member Countries 41
E. Is Yardstick Competition at a Higher Level Likely to Start a Centralizing Dynamic
Akin to that of the Single Market? 50
F. Conclusion 55
Chapter 3: Using Corporate Law to Compete for Investments
byEhudKamar 59
A. Introduction 59
B. Competition for Investments 64
C. The Incentives to Compete 80
D. Normative Implications 99
E. Toward a General Theory of Regulatory Competition 113
F. Conclusion 117
Chapter 4: A Legal Options Approach to EC Company Law
by Gerard Hertig and Joseph A. McCahery 119
A. Introduction 120
B. Toward a Flexible Approach to EU Company Law 123
viji Contents
C. Impact on Regulatory Arbitrage and Competition 126
D. The Benefits of a Pro Choice Approach 128
E. Step by Step Reform Recommendations 131
F. Conclusion: The Future of the Pro Choice Approach 138
Chapter5: How Can Corporate Governance Codes Be Implemented?
by Eddy Wymeersch 143
A. Regulating Corporate Governance 144
B. Enforcing Corporate Governance Codes 149
C. Conclusion 158
Part 2: The New European Regulation of Trading Venues 161
Chapter 6: The MiFID: Competition in a New European Equity Market
Regulatory Structure
by Ryan Davies, Alfonso Dufour and Brian Scott Quinn 163
A. Introduction 163
B. Internalisation and Fragmentation 166
C. U.S. Regulatory Experience 174
D. European Landscape 179
E. The MiFID 187
F. Conclusion 191
Chapter 7: The European Securities Industry. Further Evidence on the
Roadmap to Integration
by Barbara Alemanni, Giuseppe Lusignani and Marco Onado 199
A. Foreword 199
B. The Roadmap: the European Approach 200
C. The Roadmap: Main Issues and Findings 211
D. The Present Landscape 216
E. The Trading Costs in European Exchanges: A Comparative Analysis 218
F. Costs of Post Trading in Europe: A Comparative Analysis 226
G. Conclusions and Policy Implications 229
Chapter 8: The MiFID and Internalisation
by Guido Ferrarini and Fabio Recine 235
A. General 236
B. The ISD Review 241
C. The MiFID and Internalisation 256
D. Conclusions 267
Contents jx
Chapter 9: Internalisation under the MiFID: Regulatory Overreaching or
Landmark in Investor Protection?
by Johannes Kondgen and Erik Theissen 271
A. Breaking New Ground in European Securities Regulation 271
B. The Case for Regulation: Some Economic Fundamentals 274
C. The German Version of Internalisation: A View on Current (Pre MiFID) Market
Practice and Regulation 277
D. A Critical Assessment of the Directive 283
E. Xetra Best A Blueprint for Other European Exchanges? 290
F. Conclusions 294
Part 3: Further Issues in Regulatory Harmonization 297
Chapter 10: The Eclipse of Contract Law in the Investment Firm Client
Relationship: The Impact of the MiFID on the Law of Contract
from a German Perspective
by Peter O. Miilbert 299
A. Introduction 299
B. The Present Contractual Approach to Regulating the Firm Client Relationship:
The German Example 300
C. The Contents of the Conduct of Business Obligations: Selected Issues 303
D. Implications for the (German) Law of Contract Relating to Securities Transac¬
tions 316
E. Concluding Remarks 320
Chapter 11: Conflicts of Interest in Investment Services: The Price and Uncer¬
tain Impact of MiFID's Regulatory Framework
by Luca Enriques 321
A. Introduction 322
B. Why Specific Rules on Conflicts of Interest? 324
C. The MiFID and Prospective Level 2 Rules on Conflicts of Interest 325
D. Too Much Scope for 'Honesty and Fair Dealing' to Achieve Uniformity? 331
E. Same Rules for Different Investor Protection Needs: A Wise Choice? 334
F. Conclusions 338
Chapter 12: The 'Public Offering of Securities' Concept in the New Prospectus
Directive
by Alain Pietrancosta 339
A. An Innovative but Evasive Definition of the 'Offer of Securities to the Pub¬
lic' 345
B. The Clarifications Brought on by an A Contrario Interpretation of the Exemp¬
tions 351
x Contents
Chapter 13: Nonfinancial Disclosure between 'Shareholder Value' and
'Socially Responsible Investing'
by Francesco Denozza 365
A. Financial and Nonfinancial Disclosure 365
B. The Notion of Nonfinancial Information 367
C. The Interpretation of the Transparency Directive and its Relationship with the
Market Abuse Directive 368
D. The Notion of 'Inside Information' 369
E. From the Interpretation of Law to the Analysis of Conflicts Amongst the Dif¬
ferent Interests of the Individuals Involved: The 'Shareholder Value'
Model 372
F. Disclosure Duties: Not a Matter of Increasing Overall Welfare, but of Favour¬
ing One Out of Different, Conflicting, Interests 375
Part 4: After the Financial Services Action Plan 379
Chapter 14: Effective Policy Design for the Retail Investment Services Market:
Challenges and Choices Post FSAP
by Niamh Moloney 381
A. The EU Investment Services Market and Retail Investor Policy 381
B. The Delivery of Retail Policy Through a Regulatory Strategy 386
C. The Regulatory Strategy as Expressed Through the MiFID Conduct of Business
Regime 391
D. The Risks of a Regulatory Strategy 407
E. A Multi Stranded Strategy for the Retail Markets 422
F. Conclusion 440
Chapter 15: Financial Market Integration in the Post FSAP Era.
In Search of Overall Conceptual Consistency in the Regulatory Framework
by Michel Tison 443
A. Introduction 443
B. The Underlying Regulatory Concepts: From Minimum to Maximum Har
monisation or Something in Between? 445
C. Division of Regulatory Powers Between Home and Host State 452
D. Conclusions 463
Chapter 16: Securities Clearing and Settlement:Regulatory Developments
in Europe
by Eddy Wymeersch 465
A. A Short Introduction to Securities Clearing and Settlement 465
B. The Legal and Regulatory Environment of Securities Clearing and Settle¬
ment 469
C. Conclusion 483
D. Later Developments 483
Contents xj
Chapter 17: Structuring Securities Regulation in the European Union:
Lessons from the U.S. Experience
by Donald C. Langevoort 485
A. The Primacy of Enforcement 488
B. The Influences on SEC Enforcement Discretion 491
C. The Potential for Home Bias in SEC Enforcement 496
D. Lessons for the EU 507
E. Conclusion 506
Index 507 |
adam_txt |
Contents
Abbreviations xiii xvii
The Contributors xix xxvi
Part 1: Institutional Structure, Regulatory Competition
and Regulatory Strategies 1
Chapter 1: The Economics and Politics of Corporate Governance
in the European Union
by Dennis C. Mueller 3
A. Introduction 3
B. Corporate Governance and Economic Performance 4
C. Institutional Explanations for Differences in Performance 15
D. Is There a Best Corporate Governance System? 20
E. Are Corporate Governance Systems Converging? 21
F. Will Corporate Governance Systems Achieve a Full Convergence? 22
Chapter 2: Political Yardstick Competition and Corporate Governance
in the European Union
by Pierre Salmon 31
A. Introduction 32
B. Selected Features of Yardstick Competition Among Governments 33
C. The Peculiar Path Borrowed by European Integration 37
D. Corporate Law and Yardstick Competition Among EU Member Countries 41
E. Is Yardstick Competition at a Higher Level Likely to Start a Centralizing Dynamic
Akin to that of the Single Market? 50
F. Conclusion 55
Chapter 3: Using Corporate Law to Compete for Investments
byEhudKamar 59
A. Introduction 59
B. Competition for Investments 64
C. The Incentives to Compete 80
D. Normative Implications 99
E. Toward a General Theory of Regulatory Competition 113
F. Conclusion 117
Chapter 4: A Legal Options Approach to EC Company Law
by Gerard Hertig and Joseph A. McCahery 119
A. Introduction 120
B. Toward a Flexible Approach to EU Company Law 123
viji Contents
C. Impact on Regulatory Arbitrage and Competition 126
D. The Benefits of a Pro Choice Approach 128
E. Step by Step Reform Recommendations 131
F. Conclusion: The Future of the Pro Choice Approach 138
Chapter5: How Can Corporate Governance Codes Be Implemented?
by Eddy Wymeersch 143
A. Regulating Corporate Governance 144
B. Enforcing Corporate Governance Codes 149
C. Conclusion 158
Part 2: The New European Regulation of Trading Venues 161
Chapter 6: The MiFID: Competition in a New European Equity Market
Regulatory Structure
by Ryan Davies, Alfonso Dufour and Brian Scott Quinn 163
A. Introduction 163
B. Internalisation and Fragmentation 166
C. U.S. Regulatory Experience 174
D. European Landscape 179
E. The MiFID 187
F. Conclusion 191
Chapter 7: The European Securities Industry. Further Evidence on the
Roadmap to Integration
by Barbara Alemanni, Giuseppe Lusignani and Marco Onado 199
A. Foreword 199
B. The Roadmap: the European Approach 200
C. The Roadmap: Main Issues and Findings 211
D. The Present Landscape 216
E. The Trading Costs in European Exchanges: A Comparative Analysis 218
F. Costs of Post Trading in Europe: A Comparative Analysis 226
G. Conclusions and Policy Implications 229
Chapter 8: The MiFID and Internalisation
by Guido Ferrarini and Fabio Recine 235
A. General 236
B. The ISD Review 241
C. The MiFID and Internalisation 256
D. Conclusions 267
Contents jx
Chapter 9: Internalisation under the MiFID: Regulatory Overreaching or
Landmark in Investor Protection?
by Johannes Kondgen and Erik Theissen 271
A. Breaking New Ground in European Securities Regulation 271
B. The Case for Regulation: Some Economic Fundamentals 274
C. The German Version of Internalisation: A View on Current (Pre MiFID) Market
Practice and Regulation 277
D. A Critical Assessment of the Directive 283
E. Xetra Best A Blueprint for Other European Exchanges? 290
F. Conclusions 294
Part 3: Further Issues in Regulatory Harmonization 297
Chapter 10: The Eclipse of Contract Law in the Investment Firm Client
Relationship: The Impact of the MiFID on the Law of Contract
from a German Perspective
by Peter O. Miilbert 299
A. Introduction 299
B. The Present Contractual Approach to Regulating the Firm Client Relationship:
The German Example 300
C. The Contents of the Conduct of Business Obligations: Selected Issues 303
D. Implications for the (German) Law of Contract Relating to Securities Transac¬
tions 316
E. Concluding Remarks 320
Chapter 11: Conflicts of Interest in Investment Services: The Price and Uncer¬
tain Impact of MiFID's Regulatory Framework
by Luca Enriques 321
A. Introduction 322
B. Why Specific Rules on Conflicts of Interest? 324
C. The MiFID and Prospective Level 2 Rules on Conflicts of Interest 325
D. Too Much Scope for 'Honesty and Fair Dealing' to Achieve Uniformity? 331
E. Same Rules for Different Investor Protection Needs: A Wise Choice? 334
F. Conclusions 338
Chapter 12: The 'Public Offering of Securities' Concept in the New Prospectus
Directive
by Alain Pietrancosta 339
A. An Innovative but Evasive Definition of the 'Offer of Securities to the Pub¬
lic' 345
B. The Clarifications Brought on by an A Contrario Interpretation of the Exemp¬
tions 351
x Contents
Chapter 13: Nonfinancial Disclosure between 'Shareholder Value' and
'Socially Responsible Investing'
by Francesco Denozza 365
A. Financial and Nonfinancial Disclosure 365
B. The Notion of Nonfinancial Information 367
C. The Interpretation of the Transparency Directive and its Relationship with the
Market Abuse Directive 368
D. The Notion of 'Inside Information' 369
E. From the Interpretation of Law to the Analysis of Conflicts Amongst the Dif¬
ferent Interests of the Individuals Involved: The 'Shareholder Value'
Model 372
F. Disclosure Duties: Not a Matter of Increasing Overall Welfare, but of Favour¬
ing One Out of Different, Conflicting, Interests 375
Part 4: After the Financial Services Action Plan 379
Chapter 14: Effective Policy Design for the Retail Investment Services Market:
Challenges and Choices Post FSAP
by Niamh Moloney 381
A. The EU Investment Services Market and Retail Investor Policy 381
B. The Delivery of Retail Policy Through a Regulatory Strategy 386
C. The Regulatory Strategy as Expressed Through the MiFID Conduct of Business
Regime 391
D. The Risks of a Regulatory Strategy 407
E. A Multi Stranded Strategy for the Retail Markets 422
F. Conclusion 440
Chapter 15: Financial Market Integration in the Post FSAP Era.
In Search of Overall Conceptual Consistency in the Regulatory Framework
by Michel Tison 443
A. Introduction 443
B. The Underlying Regulatory Concepts: From Minimum to Maximum Har
monisation or Something in Between? 445
C. Division of Regulatory Powers Between Home and Host State 452
D. Conclusions 463
Chapter 16: Securities Clearing and Settlement:Regulatory Developments
in Europe
by Eddy Wymeersch 465
A. A Short Introduction to Securities Clearing and Settlement 465
B. The Legal and Regulatory Environment of Securities Clearing and Settle¬
ment 469
C. Conclusion 483
D. Later Developments 483
Contents xj
Chapter 17: Structuring Securities Regulation in the European Union:
Lessons from the U.S. Experience
by Donald C. Langevoort 485
A. The Primacy of Enforcement 488
B. The Influences on SEC Enforcement Discretion 491
C. The Potential for Home Bias in SEC Enforcement 496
D. Lessons for the EU 507
E. Conclusion 506
Index 507 |
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spelling | Investor protection in Europe corporate law making, the MiFID and beyond ed. by Guido Ferrarini ... 1. publ. Oxford [u.a.] Oxford Univ. Press 2006 XXVI, 509 S. graph. Darst. txt rdacontent n rdamedia nc rdacarrier European Parliament. Directive 2004/39/EC of the European Parliament and of the Council of 21 April 2004 on markets in financial instruments Europäische Union (DE-588)5098525-5 gnd rswk-swf Recht Financial services industry Law and legislation Europe Investments Law and legislation Europe Anlegerschutz (DE-588)4002106-3 gnd rswk-swf Europa (DE-588)4143413-4 Aufsatzsammlung gnd-content Europäische Union (DE-588)5098525-5 b Anlegerschutz (DE-588)4002106-3 s DE-604 Ferrarini, Guido Sonstige (DE-588)124266495 oth HBZ Datenaustausch application/pdf http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=015436562&sequence=000002&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA Inhaltsverzeichnis |
spellingShingle | Investor protection in Europe corporate law making, the MiFID and beyond European Parliament. Directive 2004/39/EC of the European Parliament and of the Council of 21 April 2004 on markets in financial instruments Europäische Union (DE-588)5098525-5 gnd Recht Financial services industry Law and legislation Europe Investments Law and legislation Europe Anlegerschutz (DE-588)4002106-3 gnd |
subject_GND | (DE-588)5098525-5 (DE-588)4002106-3 (DE-588)4143413-4 |
title | Investor protection in Europe corporate law making, the MiFID and beyond |
title_auth | Investor protection in Europe corporate law making, the MiFID and beyond |
title_exact_search | Investor protection in Europe corporate law making, the MiFID and beyond |
title_exact_search_txtP | Investor protection in Europe corporate law making, the MiFID and beyond |
title_full | Investor protection in Europe corporate law making, the MiFID and beyond ed. by Guido Ferrarini ... |
title_fullStr | Investor protection in Europe corporate law making, the MiFID and beyond ed. by Guido Ferrarini ... |
title_full_unstemmed | Investor protection in Europe corporate law making, the MiFID and beyond ed. by Guido Ferrarini ... |
title_short | Investor protection in Europe |
title_sort | investor protection in europe corporate law making the mifid and beyond |
title_sub | corporate law making, the MiFID and beyond |
topic | European Parliament. Directive 2004/39/EC of the European Parliament and of the Council of 21 April 2004 on markets in financial instruments Europäische Union (DE-588)5098525-5 gnd Recht Financial services industry Law and legislation Europe Investments Law and legislation Europe Anlegerschutz (DE-588)4002106-3 gnd |
topic_facet | European Parliament. Directive 2004/39/EC of the European Parliament and of the Council of 21 April 2004 on markets in financial instruments Europäische Union Recht Financial services industry Law and legislation Europe Investments Law and legislation Europe Anlegerschutz Europa Aufsatzsammlung |
url | http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=015436562&sequence=000002&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA |
work_keys_str_mv | AT ferrariniguido investorprotectionineuropecorporatelawmakingthemifidandbeyond |