9780199261932 - asset management and investor protection: an international analysis (economics & finance) de franks, julian (24 resultados)

Idioma: Inglés
Editorial: Oxford University Press 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Librería: Prometei Books, New Rochelle, NY, Estados Unidos de AmericaPrometei Books
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Soft cover. Condición: New. 1st Edition. New book, never read. Pages clean and crisp, spine unbroken. 1019A.

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Editorial: Oxford University Press, Usa 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Librería: Anybook.com, Lincoln, Reino UnidoAnybook.com
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Condición: Good. This is an ex-library book and may have the usual library/used-book markings inside.This book has soft covers. In good all round condition. Please note the Image in this listing is a stock photo and may not match the covers of the actual item,550grams, ISBN:9780199261932.

Idioma: Inglés
Editorial: Oxford University Press 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Editorial: Oxford University Press 2003
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Idioma: Inglés
Editorial: Oxford University Press 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Editorial: Oxford University Press 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Paperback / softback. Condición: New. New copy - Usually dispatched within 4 working days.

Idioma: Inglés
Editorial: Oxford University Press 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Librería: Ria Christie Collections, Uxbridge, Reino UnidoRia Christie Collections
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Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Paperback. Condición: New.

Idioma: Inglés
Editorial: Oxford University Press 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Idioma: Inglés
Editorial: Oxford University Press 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Condición: New. Mention Enron or BCCI and a lack of financial regulation springs to mind. Consumer confidence is at a low ebb, as consumers feel unprotected. This comparative survey of European and US consumer protection schemes offers detailed information on how much protection investors really have. Num Pages: 304 pages, numer…ous figures and tables. BIC Classification: KFFH; KFFM; LNP. Category: (P) Professional & Vocational. Dimension: 235 x 157 x 17. Weight in Grams: 456. . 2003. Paperback. . . . . Books ship from the US and Ireland.

Idioma: Inglés
Editorial: Oxford University Press 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Librería: Kennys Bookshop and Art Galleries Ltd., Galway, GY, IrlandaKennys Bookshop and Art Galleries Ltd.
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Condición: New. Mention Enron or BCCI and a lack of financial regulation springs to mind. Consumer confidence is at a low ebb, as consumers feel unprotected. This comparative survey of European and US consumer protection schemes offers detailed information on how much protection investors really have. Num Pages: 304 pages, numer…ous figures and tables. BIC Classification: KFFH; KFFM; LNP. Category: (P) Professional & Vocational. Dimension: 235 x 157 x 17. Weight in Grams: 456. . 2003. Paperback. . . . .

Idioma: Inglés
Editorial: Oxford University Press 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Librería: Brook Bookstore On Demand, Napoli, NA, ItaliaBrook Bookstore On Demand
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Condición: new. Questo è un articolo print on demand.

Idioma: Inglés
Editorial: Oxford University Press, Oxford 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Librería: Grand Eagle Retail, Bensenville, IL, Estados Unidos de AmericaGrand Eagle Retail
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EUR 78,39
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Paperback. Condición: new. Paperback. Asset management is a major industry playing an increasingly important role in economic activity around the world. Asset managers provide services to individuals, governments, public agencies, banks, pension funds, insurance companies, and charities, to name a few. Traditionally, asset manag…ement has been primarily associated with the 'stock market' economies of the UK and the USA, but, as this book shows, some of the most spectacular growth in activity of recentyears has occurred in Continental Europe.This has presented opportunities and challenges. New forms of financial instruments and institutions have emerged in countries that havetraditionally relied on debt and non-market forms of intermediation. Competition has intensified, and entry has occurred both within and across national markets. However, this growth has been accompanied by potential problems: while investors enjoy a wider range of products and services, they face more complex instruments and transactions. Therefore, the potential for failures, such as misdealing and fraud, may have increased. The natural response is to strengthen regulation, but there is afine balance to be struck between inadequate and excessive regulation of asset managers.This is particularly complicated in the context of European capital markets. Europeancountries have traditionally had very different financial systems and asset management businesses, therefore it is no surprise to discover many different approaches to regulating asset managers. How should the European Commission respond to this diversity? Should it seek to create greater uniformity via common regulatory rules?The particular focus of this book is financial resource requirements. There is currently an active debate about the role capital requirements shouldplay in asset management, particularly in the European context. In order to address this issue, the authors argue that it is necessary to understand the nature of the asset management business indifferent countries and the risks that it faces. They therefore discuss how the asset management business operates; how it is organized; the nature and size of risks in the business, who bears them, and how they are financed; and what the alternative forms of investor protection are, together with their associated costs and benefits. Scandals in financial institutions, weakness in the world economy, and volatility in financial markets bring to the fore issues of regulation and consumer protection. This comparative survey of how investors are currently protected in a range of European countries and the USA is set in an accessible theoretical framework. This item is printed on demand. Shipping may be from multiple locations in the US or from the UK, depending on stock availability.

Idioma: Inglés
Editorial: Oxford University Press 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Librería: PBShop.store US, Wood Dale, IL, Estados Unidos de AmericaPBShop.store US
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PAP. Condición: New. New Book. Shipped from UK. THIS BOOK IS PRINTED ON DEMAND. Established seller since 2000.

Idioma: Inglés
Editorial: Oxford University Press 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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PAP. Condición: New. New Book. Delivered from our UK warehouse in 4 to 14 business days. THIS BOOK IS PRINTED ON DEMAND. Established seller since 2000.

Idioma: Inglés
Editorial: Oxford University Press 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Librería: THE SAINT BOOKSTORE, Southport, Reino UnidoTHE SAINT BOOKSTORE
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Paperback / softback. Condición: New. This item is printed on demand. New copy - Usually dispatched within 5-9 working days.

Idioma: Inglés
Editorial: Oxford University Press 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Librería: Majestic Books, Hounslow, Reino UnidoMajestic Books
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Condición: New. Print on Demand pp. 308 49:B&W 6.14 x 9.21 in or 234 x 156 mm (Royal 8vo) Perfect Bound on White w/Gloss Lam.

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Editorial: Oxford University Press OUP 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Condición: New. Print on Demand pp. 308.

Idioma: Inglés
Editorial: Oxford University Press 2003
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Librería: Biblios, frankfurt am main, HESSE, AlemaniaBiblios
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Condición: New. PRINT ON DEMAND pp. 308.

Idioma: Inglés
Editorial: Oxford University Press, Oxford 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Paperback. Condición: new. Paperback. Asset management is a major industry playing an increasingly important role in economic activity around the world. Asset managers provide services to individuals, governments, public agencies, banks, pension funds, insurance companies, and charities, to name a few. Traditionally, asset manag…ement has been primarily associated with the 'stock market' economies of the UK and the USA, but, as this book shows, some of the most spectacular growth in activity of recentyears has occurred in Continental Europe.This has presented opportunities and challenges. New forms of financial instruments and institutions have emerged in countries that havetraditionally relied on debt and non-market forms of intermediation. Competition has intensified, and entry has occurred both within and across national markets. However, this growth has been accompanied by potential problems: while investors enjoy a wider range of products and services, they face more complex instruments and transactions. Therefore, the potential for failures, such as misdealing and fraud, may have increased. The natural response is to strengthen regulation, but there is afine balance to be struck between inadequate and excessive regulation of asset managers.This is particularly complicated in the context of European capital markets. Europeancountries have traditionally had very different financial systems and asset management businesses, therefore it is no surprise to discover many different approaches to regulating asset managers. How should the European Commission respond to this diversity? Should it seek to create greater uniformity via common regulatory rules?The particular focus of this book is financial resource requirements. There is currently an active debate about the role capital requirements shouldplay in asset management, particularly in the European context. In order to address this issue, the authors argue that it is necessary to understand the nature of the asset management business indifferent countries and the risks that it faces. They therefore discuss how the asset management business operates; how it is organized; the nature and size of risks in the business, who bears them, and how they are financed; and what the alternative forms of investor protection are, together with their associated costs and benefits. Scandals in financial institutions, weakness in the world economy, and volatility in financial markets bring to the fore issues of regulation and consumer protection. This comparative survey of how investors are currently protected in a range of European countries and the USA is set in an accessible theoretical framework. This item is printed on demand. Shipping may be from our Sydney, NSW warehouse or from our UK or US warehouse, depending on stock availability.

Idioma: Inglés
Editorial: OUP Oxford 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Librería: moluna, Greven, Alemaniamoluna
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Kartoniert / Broschiert. Condición: New. Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. Mention Enron or BCCI and a lack of financial regulation springs to mind. Consumer confidence is at a low ebb, as consumers feel unprotected. This comparative survey of European and US consume…r protection schemes offers detailed information on how much prot.

Idioma: Inglés
Editorial: Oxford University Press, Oxford 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Paperback. Condición: new. Paperback. Asset management is a major industry playing an increasingly important role in economic activity around the world. Asset managers provide services to individuals, governments, public agencies, banks, pension funds, insurance companies, and charities, to name a few. Traditionally, asset manag…ement has been primarily associated with the 'stock market' economies of the UK and the USA, but, as this book shows, some of the most spectacular growth in activity of recentyears has occurred in Continental Europe.This has presented opportunities and challenges. New forms of financial instruments and institutions have emerged in countries that havetraditionally relied on debt and non-market forms of intermediation. Competition has intensified, and entry has occurred both within and across national markets. However, this growth has been accompanied by potential problems: while investors enjoy a wider range of products and services, they face more complex instruments and transactions. Therefore, the potential for failures, such as misdealing and fraud, may have increased. The natural response is to strengthen regulation, but there is afine balance to be struck between inadequate and excessive regulation of asset managers.This is particularly complicated in the context of European capital markets. Europeancountries have traditionally had very different financial systems and asset management businesses, therefore it is no surprise to discover many different approaches to regulating asset managers. How should the European Commission respond to this diversity? Should it seek to create greater uniformity via common regulatory rules?The particular focus of this book is financial resource requirements. There is currently an active debate about the role capital requirements shouldplay in asset management, particularly in the European context. In order to address this issue, the authors argue that it is necessary to understand the nature of the asset management business indifferent countries and the risks that it faces. They therefore discuss how the asset management business operates; how it is organized; the nature and size of risks in the business, who bears them, and how they are financed; and what the alternative forms of investor protection are, together with their associated costs and benefits. Scandals in financial institutions, weakness in the world economy, and volatility in financial markets bring to the fore issues of regulation and consumer protection. This comparative survey of how investors are currently protected in a range of European countries and the USA is set in an accessible theoretical framework. This item is printed on demand. Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability.

Idioma: Inglés
Editorial: OUP Oxford 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Librería: preigu, Osnabrück, Alemaniapreigu
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EUR 72,30
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Taschenbuch. Condición: Neu. Asset Management and Investor Protection | An International Analysis | Luis Correia Silva (u. a.) | Taschenbuch | Kartoniert / Broschiert | Englisch | 2003 | OUP Oxford | EAN 9780199261932 | Verantwortliche Person für die EU: Libri GmbH, Europaallee 1, 36244 Bad Hersfeld, gpsr[at]libri[dot]de | Anbie…ter: preigu Print on Demand.

Idioma: Inglés
Editorial: OUP Oxford 2003
Serie: The series of Finance and Economics, Libro 2 de 4. Libro 2 de 4 - The series of Finance and Economics
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Librería: AHA-BUCH GmbH, Einbeck, AlemaniaAHA-BUCH GmbH
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Taschenbuch. Condición: Neu. nach der Bestellung gedruckt Neuware - Printed after ordering - Asset management is a major industry playing an increasingly important role in economic activity around the world. Asset managers provide services to individuals, governments, public agencies, banks, pension funds, insurance companies, a…nd charities, to name a few. Traditionally, asset management has been primarily associated with the 'stock market' economies of the UK and the USA, but, as this book shows, some of the most spectacular growth in activity of recent years has occurred in Continental Europe.This has presented opportunities and challenges. New forms of financial instruments and institutions have emerged in countries that have traditionally relied on debt and non-market forms of intermediation. Competition has intensified, and entry has occurred both within and across national markets. However, this growth has been accompanied by potential problems: while investors enjoy a wider range of products and services, they face more complex instruments and transactions. Therefore, the potential for failures, such as misdealing and fraud, may have increased. The natural response is to strengthen regulation, but there is a fine balance to be struck between inadequate and excessive regulation of asset managers.This is particularly complicated in the context of European capital markets. European countries have traditionally had very different financial systems and asset management businesses, therefore it is no surprise to discover many different approaches to regulating asset managers. How should the European Commission respond to this diversity Should it seek to create greater uniformity via common regulatory rules The particular focus of this book is financial resource requirements. There is currently an active debate about the role capital requirements should play in asset management, particularly in the European context. In order to address this issue, the authors argue that it is necessary to understand the nature of the asset management business in different countries and the risks that it faces. They therefore discuss how the asset management business operates; how it is organized; the nature and size of risks in the business, who bears them, and how they are financed; and what the alternative forms of investor protection are, together with their associated costs and benefits.