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This volume is concerned with international securities markets
and the regulation of the offer and trading of securities and other
types of regulated investments in a number of jurisdictions. The
third edition incorporates changes that have occurred in securities
law at the international and national levels since the second
edition in 2005.
Teams of practicing lawyers in 35 countries describe the securities markets, the regulatory authority, principal laws regulating the markets, procedures and methods for an application for listing, civil and criminal liability for securities law breaches, prospectus/disclosure requirements when offering securities, filing and currency requirements, further requirements and exemptions when offering securities for resale and secondary trading, the special cases of takeovers, and other topics.
Contributor: Erling Christiansen
Publisher: Kluwer law International
Number of pages: 705