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International law in financial regulation and monetary affairs /

The early twenty-first century has seen a conspicuous absence of formal international law concerning money and finance. This book argues that this lack of formal international regulation was a significant contributing factor to the global financial crisis that began in 2007. It focuses on this lack...

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Detalles Bibliográficos
Clasificación:Libro Electrónico
Otros Autores: Jackson, John H. (John Howard), 1932-2015, Cottier, Thomas, Lastra, Rosa María
Formato: Electrónico eBook
Idioma:Inglés
Publicado: Oxford : Oxford University Press, 2012.
Colección:International economic law series (Oxford, England)
Temas:
Acceso en línea:Texto completo

MARC

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245 0 0 |a International law in financial regulation and monetary affairs /  |c edited by John H. Jackson, Thomas Cottier, Rosa M. Lastra. 
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505 0 |a Cover; Contents; List of Abbreviations; List of Contributors; Introduction; I. THE CRISIS OF 2007-2009: NATURE, CAUSES, AND REACTIONS; 1. The Crisis of 2007-09: Nature, Causes, and Reactions; II. ARCHITECTURE AND CONCEPTUAL ISSUES; 2. Systemic Regulation of Global Trade and Finance: A Tale of Two Systems; 3. The International Monetary System: A Look Back Over Seven Decades; 4. Towards a New Architecture for Financial Stability: Seven Principles; 5. Why Soft Law Dominates International Finance-and not Trade. 
505 8 |a 6. The 'Santiago Principles' for Sovereign Wealth Funds: A Case Study on International Financial Standard-Setting ProcessesIII. FINANCIAL MARKET REGULATION; 7. The Role and Prospects of International Law in Financial Regulation and Supervision; 8. Multilayered Governance in International Financial Regulation and Supervision; 9. Border Problems; 10. The International Law of Financial Crisis: Spillovers, Subsidiarity, Fragmentation and Cooperation; 11. Addressing Government Failure through International Financial Law; 12. Reducing Systemic Risk through the Reform of Capital Regulation. 
505 8 |a 13. The Role of Transparency in Financial Regulation14. Global Securities Regulation after the Financial Crisis; IV. TRADE, COMPETITION, AND TAXRELATED ASPECTS; 15. What Role for Non-Discrimination and Prudential Standards in International Financial Law?; 16. Financial Services Trade After the Crisis: Policy and Legal; 17. WTO Subsidies Discipline During and After the Crisis; 18. The Role of Competition and State Aid Policy in Financial and Monetary Law; 19. International Regulatory Reform and Financial Taxes; V. MONETARY REGULATION; 20. The Role of International Law in Monetary Affairs. 
505 8 |a 21. Financial Stability and Monetary Policy: Need for International Surveillance22. Enhancing the IMF's Regulatory Authority; VI. CONCLUSIONS; Conclusions; Bibliography; Index; A; B; C; D; E; F; G; H; I; J; K; L; M; N; O; P; Q; R; S; T; U; V; W; X; Z. 
520 |a The early twenty-first century has seen a conspicuous absence of formal international law concerning money and finance. This book argues that this lack of formal international regulation was a significant contributing factor to the global financial crisis that began in 2007. It focuses on this lack of global substantive principles and 'hard law' rules in the field of financial regulation and monetary affairs, and analyses the emerging framework within international law that aims togovern financial institutions and markets. The global financial crisis has demonstrated the essential need for fin. 
504 |a Includes bibliographical references and index. 
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700 1 |a Jackson, John H.  |q (John Howard),  |d 1932-2015. 
700 1 |a Cottier, Thomas. 
700 1 |a Lastra, Rosa María. 
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