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Securities and Financial Services Law 8th Edition

Securities and Financial Services Law 8th Edition

Baxt, R; Black, A; Hanrahan, P, 2012

Available Formats

Format ISBN Price
Book 9780409330281 $160.00
eBook 9780409330298 $160.00

Securities and Financial Services Law is a high-level work of an advanced corporations law subject.
Format: Paperback 

Description

Click here to read the review first published in the Victorian Law Institute Journal - April 2013.

Click here to see the book review irst published in "Ethos" - Journal of ACT Law Society - March 2013 Issue 227.

Securities and Financial Services Law is a high-level work of an advanced corporations law subject.

The 8th edition has been updated to include the new future of financial advice reforms and incorporates new features to make the text more accessible while still maintaining the academic rigour expected from this author team.

Features
· Written by leaders in the securities and financial services field
· Includes commentary on FoFA reforms
· Provides a concise and thorough commentary on financial services law
· Is a current and comprehensive treatment of financial services in a dynamic market

Related Titles
Austin & Ramsay, Ford's Principles of Corporations Law, 14th ed, 2010
Baxt, Fletcher & Fridman, Corporations and Associations: Cases and Materials 10th ed, 2008

Table of Contents

Table of Contents
Part 1 Introduction

1              Regulating securities and markets
2              Administration of the securities and financial services laws
3              The statutory definitions
Part 2 Issuers
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              Investor claims for defective disclosure
Part 3 Markets
10              Licensing of market providers
11              Regulation of market participants in the securities markets
12              Enforceability of the ASX Listing Rules
Part 4 Intermediaries
13              Licensing financial intermediaries
14              The relationship between financial services licensees and their clients
Part 5 Market Conduct
15              Mergers and acquisitions
16              Market misconduct, prohibited conduct and short selling
17              Insider trading

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Pricing Information

$160.00AUD

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