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Irish Securities Law - Paul Egan

Irish Securities Law

(Autor)

Buch | Hardcover
720 Seiten
2021
Bloomsbury Professional (Verlag)
9781526520401 (ISBN)
CHF 369,95 inkl. MwSt
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This new title is concerned with the securities law provisions in the Companies Act 2014 and derivative enactments, which are of most concern to listed companies and companies issuing equity and debt securities in Ireland.

It deals comprehensively with the legal obligations to produce a prospectus or similar document, what is in it, what are the exceptions, what information must be made available to the markets and what are the other legal consequences on companies and dealers in shares and other securities as a result of having securities admitted to listing.

Part A of the book gives an overview of the four key areas: Prospectus, Listing, Market Abuse and Transparency. It explains the structure of the law to enable non-experts to understand the law. Part B gives the legal and regulatory texts, which will be more of interest to lawyers and financiers in this area who need to be familiar with the primary law, which is not as yet readily accessible.

Paul Egan SC is a senior consultant with and former Chairman of the Corporate Law division of Mason, Hayes and Curran and practises primarily in public company transactions and corporate governance. He is Chairman of the Company Law Review Group (CLRG), the statutory body responsible for advising the Minister for Enterprise, Trade and Employment on matters of company law. He is a former member of the Irish Takeover Panel, as nominee of the Law Society (2012 to 2018) and of the Irish Stock Exchange’s Listing and Rules Committees (20015-2015). Paul is author of several books on company law and securities law, including Irish and EU Market Abuse Texts (MHC 2017), European Union Securities Legislation (MHC, 5 editions 2004-2014), Irish Corporate Procedures (Jordans, 3 editions 1993-2007), contributor on securities law to Bloomsbury's Companies Acts 1963 to 2012 (Bloomsbury, 2012), Ethics in the Public and Private Sector: the Legislation (MHC 2012).

Part A: Overview of Irish Securities Law
Chapter 1 The Legal Environment
Chapter 2 Market Regulation
Chapter 3 Prospectus Regime
Chapter 4 Listing Regime
Chapter 5 Market Abuse Regime
Chapter 6 Transparency Regime
Chapter 7 Takeover Regulation
Chapter 8 Supplementary Issuer Regulation
Chapter 9 Governance Codes and Investor Policies
Chapter 10 Collective Investment Schemes
Part B: Texts
Chapter 11 Prospectus Texts
Chapter 12 Listing Texts
Chapter 13 Market Abuse Texts
Chapter 14 Transparency Texts
Chapter 15 Other Texts

Erscheinungsdatum
Verlagsort London
Sprache englisch
Maße 156 x 248 mm
Themenwelt Recht / Steuern EU / Internationales Recht
Recht / Steuern Wirtschaftsrecht Bank- und Kapitalmarktrecht
ISBN-13 9781526520401 / 9781526520401
Zustand Neuware
Informationen gemäß Produktsicherheitsverordnung (GPSR)
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CHF 34,85