Financial Services
Regulating Investment Business
Simon Morris(Author)
Sweet & Maxwell (Publisher)
2nd Edition
Published in September 1995
Book
320 pages
978-0-7520-0041-1 (ISBN)
Description
Here is expert advice on the legal implications of the Financial Services Act 1986 and subsequent amendments for business operations. The impact of both the legislation and case law on each area of operation is explained clearly and thoroughly, identifying problem areas and offering solutions. In 1993 the Large Report recommended a fundamental clarification of the regulatory system's twotier structure and a changed role for the Securities and Investment Board. Following widespread criticism, the Act has frequently been amended and a large body of case law has built up. This edition takes on board all important developments, includes new Sls regulating advertising, guidance on collective investment schemes and expanded commentary on the FSA's impact on banking.
This latest edition includes: a rewritten section on enforcement to take account of a substantial amount of case decisions; a revised chapter on regulation of investment vehicles, including the many changes in pensions and unit trust rules; new treatment of the impact of the EC Investment Services Directive, the Capital Adequacy Directive and the third Life Directive on the UK regulatory framework; clear guidance to the fundamental changes within SROs themselves - such as the establishment of the PIA - and how they work in practice.
Here is expert advice on the legal implications of the Financial Services Act 1986 and subsequent amendments for business operations. The impact of both the legislation and case law on each area of operation is explained clearly and thoroughly, identifying problem areas and offering solutions. In 1993 the Large Report recommended a fundamental clarification of the regulatory system's twotier structure and a changed role for the Securities and Investment Board. Following widespread criticism, the Act has frequently been amended and a large body of case law has built up. This edition takes on board all important developments, includes new Sls regulating advertising, guidance on collective investment schemes and expanded commentary on the FSA's impact on banking.
This latest edition includes: a rewritten section on enforcement to take account of a substantial amount of case decisions; a revised chapter on regulation of investment vehicles, including the many changes in pensions and unit trust rules; new treatment of the impact of the EC Investment Services Directive, the Capital Adequacy Directive and the third Life Directive on the UK regulatory framework; clear guidance to the fundamental changes within SROs themselves - such as the establishment of the PIA - and how they work in practice.
This latest edition includes: a rewritten section on enforcement to take account of a substantial amount of case decisions; a revised chapter on regulation of investment vehicles, including the many changes in pensions and unit trust rules; new treatment of the impact of the EC Investment Services Directive, the Capital Adequacy Directive and the third Life Directive on the UK regulatory framework; clear guidance to the fundamental changes within SROs themselves - such as the establishment of the PIA - and how they work in practice.
Here is expert advice on the legal implications of the Financial Services Act 1986 and subsequent amendments for business operations. The impact of both the legislation and case law on each area of operation is explained clearly and thoroughly, identifying problem areas and offering solutions. In 1993 the Large Report recommended a fundamental clarification of the regulatory system's twotier structure and a changed role for the Securities and Investment Board. Following widespread criticism, the Act has frequently been amended and a large body of case law has built up. This edition takes on board all important developments, includes new Sls regulating advertising, guidance on collective investment schemes and expanded commentary on the FSA's impact on banking.
This latest edition includes: a rewritten section on enforcement to take account of a substantial amount of case decisions; a revised chapter on regulation of investment vehicles, including the many changes in pensions and unit trust rules; new treatment of the impact of the EC Investment Services Directive, the Capital Adequacy Directive and the third Life Directive on the UK regulatory framework; clear guidance to the fundamental changes within SROs themselves - such as the establishment of the PIA - and how they work in practice.
More details
Series
Edition
2nd Revised edition
Language
English
Place of publication
London
United Kingdom
Publishing group
Sweet & Maxwell Ltd
Target group
College/higher education
Professional and scholarly
Edition type
Revised edition
Dimensions
Height: 230 mm
Weight
660 gr
ISBN-13
978-0-7520-0041-1 (9780752000411)
Copyright in bibliographic data is held by Nielsen Book Services Limited or its licensors: all rights reserved.
Schweitzer Classification
Other editions
Previous edition
Book
01/1990
Sweet & Maxwell
€78.19
Article exhausted; check for reprint
Content
1. Background to the Act/2. Structure of the new regime/3. Principles, Rules and Duties: 4. Approaching the Act/5. The principal restriction/6. The regulated investments: 7. Investment activities/8. Collective investment schemes/9. Exclusions: 10. Getting caught/11. SRO's Powers/12. Investment advertisements: 13. Listed Securities/14. Banking business/15. Regulation of investment vehicles: 16. Marketing investments/17. International aspects/18. Compliance Function: Appendix