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Book: Financial Markets in Hong Kong: law and practice (2nd ed.)
Title | Financial Markets in Hong Kong: law and practice (2nd ed.) |
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Authors | |
Keywords | Financial services industry -- Law and legislation -- China -- Hong Kong Financial institutions -- Law and legislation -- China -- Hong Kong Financial services industry -- China -- Hong Kong Corporate governance -- Law and legislation -- China -- Hong Kong Securities -- China -- Hong Kong |
Issue Date | 2016 |
Publisher | Oxford University Press |
Citation | Arner, DW, Hsu, FCB, Goo, SH, et al. Financial Markets in Hong Kong: law and practice (2nd ed.). Oxford, UK: Oxford University Press. 2016 How to Cite? |
Abstract | This new edition provides a guide to the main areas of financial regulation and financial law in Hong Kong. Given the massive changes in financial regulation globally as a result of the 2008 global financial crisis and post-crisis international regulatory reforms, this book addresses these changes in Hong Kong markets and their legal and regulatory frameworks, as well as the implications of these changes to future market development. The book is in five parts. The first part considers the evolution of Hong Kong’s role as a financial centre and the development of its financial regulatory structure, one that is perhaps unusually complex given the size of the jurisdiction. The second part discusses the regulation of the banking, securities, and insurance sectors, including the regulatory powers of the Hong Kong Monetary Authority (HKMA), the Securities and Futures Commission of Hong Kong (SFC), the Office of the Commissioner of Insurance (OCI), and the forthcoming independent Insurance Authority (IA). The third part covers regulation of financial products and services, including securities offerings and listings, investment products and asset management, financial derivatives, and takeovers and mergers. The fourth part addresses market conduct and misconduct, including corporate governance, market abuse, and financial crime. Finally, the fifth part examines the international context, focusing on the relationship between Hong Kong’s financial markets and regulation and mainland China as well as key issues for Hong Kong’s role as a major global financial centre. |
Persistent Identifier | http://hdl.handle.net/10722/235583 |
ISBN |
DC Field | Value | Language |
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dc.contributor.author | Arner, DW | - |
dc.contributor.author | Hsu, FCB | - |
dc.contributor.author | Goo, SH | - |
dc.contributor.author | Johnstone, S | - |
dc.contributor.author | Lejot, PL | - |
dc.date.accessioned | 2016-10-14T13:54:10Z | - |
dc.date.available | 2016-10-14T13:54:10Z | - |
dc.date.issued | 2016 | - |
dc.identifier.citation | Arner, DW, Hsu, FCB, Goo, SH, et al. Financial Markets in Hong Kong: law and practice (2nd ed.). Oxford, UK: Oxford University Press. 2016 | - |
dc.identifier.isbn | 9780198706472 | - |
dc.identifier.uri | http://hdl.handle.net/10722/235583 | - |
dc.description.abstract | This new edition provides a guide to the main areas of financial regulation and financial law in Hong Kong. Given the massive changes in financial regulation globally as a result of the 2008 global financial crisis and post-crisis international regulatory reforms, this book addresses these changes in Hong Kong markets and their legal and regulatory frameworks, as well as the implications of these changes to future market development. The book is in five parts. The first part considers the evolution of Hong Kong’s role as a financial centre and the development of its financial regulatory structure, one that is perhaps unusually complex given the size of the jurisdiction. The second part discusses the regulation of the banking, securities, and insurance sectors, including the regulatory powers of the Hong Kong Monetary Authority (HKMA), the Securities and Futures Commission of Hong Kong (SFC), the Office of the Commissioner of Insurance (OCI), and the forthcoming independent Insurance Authority (IA). The third part covers regulation of financial products and services, including securities offerings and listings, investment products and asset management, financial derivatives, and takeovers and mergers. The fourth part addresses market conduct and misconduct, including corporate governance, market abuse, and financial crime. Finally, the fifth part examines the international context, focusing on the relationship between Hong Kong’s financial markets and regulation and mainland China as well as key issues for Hong Kong’s role as a major global financial centre. | - |
dc.language | eng | - |
dc.publisher | Oxford University Press | - |
dc.subject | Financial services industry -- Law and legislation -- China -- Hong Kong | - |
dc.subject | Financial institutions -- Law and legislation -- China -- Hong Kong | - |
dc.subject | Financial services industry -- China -- Hong Kong | - |
dc.subject | Corporate governance -- Law and legislation -- China -- Hong Kong | - |
dc.subject | Securities -- China -- Hong Kong | - |
dc.title | Financial Markets in Hong Kong: law and practice (2nd ed.) | - |
dc.type | Book | - |
dc.identifier.email | Arner, DW: douglas.arner@hku.hk | - |
dc.identifier.email | Hsu, FCB: bhsu@hku.hk | - |
dc.identifier.email | Goo, SH: shgoo@hku.hk | - |
dc.identifier.email | Johnstone, S: syrenj@hku.hk | - |
dc.identifier.email | Lejot, PL: plejot@hku.hk | - |
dc.identifier.authority | Arner, DW=rp01237 | - |
dc.identifier.authority | Hsu, FCB=rp01002 | - |
dc.identifier.authority | Goo, SH=rp01248 | - |
dc.identifier.authority | Lejot, PL=rp01475 | - |
dc.identifier.hkuros | 269436 | - |
dc.identifier.spage | 1 | - |
dc.identifier.epage | 655 | - |
dc.publisher.place | Oxford, UK | - |