Securities and financial services law / Robert Baxt, Ashley Black, Pamela Hanrahan.

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Publication details:
Sydney : LexisNexis Australia, 2008.
Edition:
7th ed.
Record id:
64120
Subject:
Securities -- Australia.
Stock exchanges -- Law and legislation -- Australia.
Contents:
1. Regulating securities and markets --2. Administration of the securities and financial services laws --3. The statutory definition of security and financial product --4. Regulation of securities offerings --5. Conducting a regulated securities offer --6. Offering financial products other than securities --7. Continuous disclosure --8. Liability for defective disclosure --9. Securities class actions --10. Licensing of market providers --11. Securities exchanges - their internal regulation --12. Enforceability of listing rules --13. Compensation regimes for financial markets --14. Licensing financial intermediaries --15. Relationship between financial services licensees and their clients --16. Mergers and acquisitions --17. Market misconduct, prohibited conduct and short selling --18. Insider trading.
Note:
Includes index.
Fifth edition entitled: Securities industry law.
ISBN:
9780409324334
Phys. description:
lxvii, 782 p. ; 24 cm