Integrity Risk and Accountability in Capital Markets Book [PDF] Download

Download the fantastic book titled Integrity Risk and Accountability in Capital Markets written by Justin O'Brien, available in its entirety in both PDF and EPUB formats for online reading. This page includes a concise summary, a preview of the book cover, and detailed information about "Integrity Risk and Accountability in Capital Markets", which was released on 18 July 2014. We suggest perusing the summary before initiating your download. This book is a top selection for enthusiasts of the Law genre.

Summary of Integrity Risk and Accountability in Capital Markets by Justin O'Brien PDF

The global economy is yet to recover from the aftershocks of the Global Financial Crisis (GFC). In particular many national economies are struggling to adjust to austerity programs that are a direct result of the toxic effects of the crisis. Governments, regulatory agencies, international organisations, media commentators, finance industry organisations and professionals, academics and affected citizens have offered partial explanations for what has occurred. Some of these actors have sought to introduce legislative and other regulatory initiatives to improve operational standards in capital markets. However, the exposure post-GFC of the scandal surrounding the manipulation over many years of the London Interbank Offered Rate (LIBOR) highlighted that the most important obstacles to counter the destructive potential of our global finance system are normative not technical. Regulating the culture of the finance sector is one of the greatest challenges facing contemporary society. This edited volume brings together leading professionals, regulators and academics with knowledge of how cultural forces shape integrity, risk and accountability in capital markets. The book will be of benefit not only to industry, regulatory and academic communities whose focus is upon financial markets and professionals. It is of value to any person or organisation interested in how the cultural underpinnings of the finance sector shape how capital markets actually operate and are regulated. It is a stark lesson of history that financial crises will occur. As national economies become ever more inter-connected and inter-dependent under conditions of global financial capitalism, it becomes ever more important to know how cultural and other normative forces might be adjusted to militate against the effects of future disasters.


Detail About Integrity Risk and Accountability in Capital Markets PDF

  • Author : Justin O'Brien
  • Publisher : Bloomsbury Publishing
  • Genre : Law
  • Total Pages : 511 pages
  • ISBN : 1782253564
  • PDF File Size : 20,7 Mb
  • Language : English
  • Rating : 4/5 from 21 reviews

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Integrity, Risk and Accountability in Capital Markets

Integrity, Risk and Accountability in Capital Markets
  • Publisher : Bloomsbury Publishing
  • File Size : 40,8 Mb
  • Release Date : 18 July 2014
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The global economy is yet to recover from the aftershocks of the Global Financial Crisis (GFC). In particular many national economies are struggling to adjust to austerity programs that are

Integrity, Risk and Accountability in Capital Markets

Integrity, Risk and Accountability in Capital Markets
  • Publisher : Unknown Publisher
  • File Size : 49,7 Mb
  • Release Date : 20 May 2024
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Regulating the culture of the finance sector is one of the greatest challenges facing contemporary society. Leading professionals, regulators and academics discuss here how cultural forces shape integrity, risk and

Just Financial Markets?

Just Financial Markets?
  • Publisher : Oxford University Press
  • File Size : 30,7 Mb
  • Release Date : 07 April 2017
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Well-functioning financial markets are crucial for the economic well-being and the justice of contemporary societies. The Great Financial Crisis has shown that a perspective that naively trusts in the self-regulating

White Collar Crime and Risk

White Collar Crime and Risk
  • Publisher : Springer
  • File Size : 44,6 Mb
  • Release Date : 06 December 2017
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This edited collection provides an innovative and detailed analysis of the relationship between the financial crisis, risk and corruption. A large majority of the published research has concentrated on identifying

Law and Corporate Behaviour

Law and Corporate Behaviour
  • Publisher : Bloomsbury Publishing
  • File Size : 50,8 Mb
  • Release Date : 22 October 2015
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This book examines the theories and practice of how to control corporate behaviour through legal techniques. The principal theories examined are deterrence, economic rational acting, responsive regulation, and the findings

Managing Elevated Risk

Managing Elevated Risk
  • Publisher : Springer
  • File Size : 38,8 Mb
  • Release Date : 11 December 2014
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This book discusses the risks and opportunities that arise in Emerging Asia given the context of a new environment in global liquidity and capital flows. It elaborates on the need

Controlling Capital

Controlling Capital
  • Publisher : Routledge
  • File Size : 48,7 Mb
  • Release Date : 12 February 2016
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Controlling Capital examines three pressing issues in financial market regulation: the contested status of public regulation, the emergence of ‘culture’ as a proposed modality of market governance, and the renewed