European Securities Law is a comprehensive, practical guide to the law and regulations that govern Europe's capital markets. This work provides a practical guide to the application of the key EU Directives in the context of day-to-day corporate transactions, with a particular focus on practical issues arising as a result of the implementation of the key EU Directives among EU member states. The work begins with a critical overview of the key legislation, including the Prospectus Directive, the Transparency Directive, the Takeover Directive, the Market Abuse Directive and MiFID. This is followed by an examination of common types of securities transactions, including equity offerings, debt offerings and programmes, private placements, takeovers and stakebuilding. A separate chapter is devoted to a discussion of liabiliity for London listings. Finally, the text provides a country-by-country analysis of specific issues that arise in 14 of the most significant member states. Written by an expert contributor team from across the EU, European Securities Law is an invaluable source of practical know-how about the regulation and operation of the securities markets in Europe.
Sprache
Verlagsort
Zielgruppe
Für höhere Schule und Studium
Für Beruf und Forschung
This work is essential reading for practitioners and in-house lawyers specialising in corporate finance, capital markets and mergers and acquisitions, as well as other finance professionals and market participants such as investment bankers. It will be relevant for practitioners in the UK, Europe, the US, Asia and any other jurisdictions involved in the field of European securities law.
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Maße
Höhe: 253 mm
Breite: 176 mm
Dicke: 64 mm
Gewicht
ISBN-13
978-0-19-957972-3 (9780199579723)
Copyright in bibliographic data and cover images is held by Nielsen Book Services Limited or by the publishers or by their respective licensors: all rights reserved.
Schweitzer Klassifikation
Edited by Raj Panasar, Cleary, Gottlieb, Steen & Hamilton LLP, and Philip Boeckman, Cravath, Swaine & Moore LLP
Contributors:
Lachlan Burn (Linklaters)
Raj Panasar (Cleary Gottlieb, Stehen & Hamilton LLP)
Luis de Carlos (Uría Menendez)
Javier Redonet (Uría Menendez)
Mark Trapnell (Freshfields Bruckhaus Deringer LLP)
Charles Howarth (Herbert Smith LLP)
Kathy Hughes (Slaughter & May)
Tim Lewis (Macfarlanes LLP)
Graham Gibb (Macfarlanes LLP)
Andrew Thompson (Cravath, Swaine & Moore LLP)
Florian Khol (Binder Grösswang Rechtsanwälte OG)
Jean-Pierre Blumberg (Linklaters LLP)
Christian Lundgren (Kromann Reumert)
Pernille Hostrup Dalhoff (Kromann Reumert)
Petri Haussila (White & Case LLP)
Petri Avakainen (White & Case LLP)
Marie-Laurence Tibi (Cleary, Gottlieb, Stehen & Hamilton LLP)
Mark Strauch (Freshfields Bruckhaus Deringer LLP)
Jack O'Farrell (A&L Goodbody)
Pietro Fioruzzi (Cleary Gottlieb Stehen & Hamilton LLP)
Philippe Hoss (Elvinger Hoss & Prussen)
Derk Lemstra (Stibbe)
Marius Jitta (Stibbe)
Rogier Raas (Stibbe)
Carlos Costa Andrade (Uría Menendez)
Ana Sa Couto (Uría Menendez)
Anders Lindblad (Mannheimer Swartling)
Stephen Glasper (Cleary Gottlieb, Stehen & Hamilton LLP)
PART I ; The European Directives relating to Issue and Trading of Securities ; 1. Introduction ; 2. Overview ; 3. Disclosure - Initial and Ongoing ; 4. Investor Protection ; 5. Some Conclusions ; PART II ; Doing Deals in Europe ; 6. Equity Offerings ; 7. Debt Offerings and Programmes ; 8. Private Placements in Europe and the US ; 9. Liability for London Listing ; 10. Takeovers and Stakebuilding ; 11. Special Considerations for Non-EU Issuers ; PART III ; Member State Regulation ; 12. Austria ; 13. Belgium ; 14. Denmark ; 15. Finland ; 16. France ; 17. Germany ; 18. Ireland ; 19. Italy ; 20. Luxembourg ; 21. The Netherlands ; 22. Portugal ; 23. Spain ; 24. Sweden ; 25. UK