No. 4-2, February 1996
Index
- THE ALTERNATIVE INVESTMENT MARKET: THE REGULATORY ISSUES
- MARKET RISK, CORPORATE GOVERNANCE AND THE REGULATION OF FINANCIAL FIRMS
- TRADING AND MARKET MAKING SURVEILLANCE PROGRAMME FOR THE NASDAQ STOCK MARKET
- EUROPEAN INVESTMENT FUNDS: THE UCITS DIRECTIVE OF 1985 AND THE OBJECTIVES OF THE PROPOSAL FOR A UCITS II DIRECTIVE
- THE CHANGING NATURE OF FINANCIAL REGULATION IN IRELAND
- THE IMPORTANCE OF CHOICE OF LAW AND FINALITY TO PvP, NETTING AND COLLATERAL ARRANGEMENTS
- CURRENCY BROKERS AND THE DUTY OF CARE
- COCKING V PRUDENTIAL ASSURANCE COMPANY LTD MACKRELL V GAN LIFE & PENSIONS PLC SILAVANT V GAN LIFE & PENSIONS PLC SZILAYAGA V TSB PENSIONS LTD AND TSB LIFE LTD PARKER V HILL SAMUEL LIFE ASSURANCE LTD GREENWOOD V IRISH LIFE ASSURANCE PLC AND MILL‐SMITH INSURANCE BROKERS LTD
- PERSONAL INVESTMENT AUTHORITY: RULE CHANGE UPDATE
- BOOK REVIEWS
- ADVANCE FEE AND PRIME BANK INSTRUMENT FRAUDS