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This book analyses the European market abuse regime contained in the Market Abuse Regulation (MAR) and related directives and regulations. Written by leading scholars in the field of capital market law from a number of European jurisdictions, the book is divided into two main parts. The first consists of chapters considering relevant issues by topic; whilst the second provides the first article-by-article commentary on the Regulation, with a detailed and technical analysis of its terms. In the first part guidance is arranged by topic and includes aspects not directly addressed by MAR such as enforcement, and the impact of US securities regulation. As well as considering the sources of market abuse regulation in general, this first part also examines its theoretical and economic framework in order to provide better understanding of the Regulation itself.
This work investigates the complexities of the European Market Abuse Regulation (MAR) to provide a comprehensive legal and economic framework for understanding market integrity. The authors, Marco Ventoruzzo and Sebastian Mock, leverage their expertise as scholars in capital market law to synthesize diverse European perspectives. They present a dual-layered analysis that bridges theoretical economic foundations with the practical application of regulatory statutes.
What You Will Find
Scope Limits
Experts recognize this text as a primary reference for legal practitioners and scholars navigating the intricacies of European capital market law. Readers frequently note the technical density of the prose, which serves as a foundational resource for those requiring a granular understanding of regulatory compliance.
Page Count:
554
Publication Date:
2017-01-01
Publisher:
Oxford University Press
ISBN-10:
0191850004
ISBN-13:
9780191850004
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