International Regulation
Abrams, R. K. & Taylor, M. W. ‘Issues in the Unification of Financial Sector Supervision’, IMF Working Paper WP/00/213 (IMF, 2000)
Alexander, K. ‘The Need for Efficient International Financial Regulation and the Role of the Global Supervisor’ Journal of Money Laundering Control (5: 52-65, 2001)
Bollen, R. ‘The International Financial System and Future Global Regulation’ Journal of International Banking Law and Regulation (23: 458-473, 2008)
Ghosh, S. ‘Evolving International Supervisory Architecture: Design, Rationale and Policy Reform’ Journal of Banking Regulation (6: 246-260, 2005)
Goodhart, C. A. E. ‘The Organisational Structure of Banking Supervision’ FSI Occasional Papers No. 1 – November 2000-10-25 (Financial Stability Institute, Bank for International Settlements, 2000)
Peek, J., Rosengren, E. S. & Tootell, G. M. B. Is Bank Supervision Central to Central Banking? (1997)
Walker, G. A. International Banking Regulation: Law, Policy and Practice (Chapter 1) (Kluwer, 2001)
European Banking Regulation
‘Basel II and the Scope for Prompt Corrective Action in
Europe ’, European Shadow Financial Regulatory Committee, Statement No. 25, 2006 Journal of Banking Regulation (8: 192-194, 2007)
Alford, D. ‘The Lamfalussy Process and EU Banking Regulation: Preliminary Assessment and Future Prospects’ Journal of International Banking Law and Regulation (21: 59-68, 2006)
Blair, C. E., Carns, F. & Kushmeider, R. M. ‚Instituting a Deposit Insurance System: Why? How?’ Journal of Banking Regulation (8: 4-19, 2006)
Cariboni, J., Branden, K. V., Campolongo, F. & de Cesare, M. ‘Deposit Protection in the EU: State of
Play and Future Prospects’ Journal of Banking Regulation (9:82-101, 2008)
Chalmers et al European Union Law: Text and Materials Chapter 18 (Cambridge University Press, 2006)
Garcia, G. G. H. & Nieto, M. J. ‘Banking Crisis Management in the European Union: Multiple Regulators and Resolution Authorities’ Journal of Banking Regulation (6: 206-226, 2005)
Gkoutzinis, A. A. Internet Banking and the Law in Europe: Regulation, Financial Integration and Electronic Commerce (
Cambridge
University Press, 2005)
Horng, D. ‘The Principle of Mutual Recognition: The European Union’s Practice and Development’ World Competition (22: 135-155, 1999)
LaBrosse, J. R. & Walker, D. K. ’Contingency Planning: A Practitioner’s Guide Drawing From Lessons Learned from Dealing with Banks Failures’ Journal of Banking Regulation (8: 51-65, 2006)
Marttila, J. ‘The Main Challenge for CEBS: Convergence of Supervisory Practices across the European Union’ Journal of International Banking Law and Regulation (20: 341-344, 2005)
Mohamed, S. ‘A Single Regulator for the EC Financial Market’ Journal of International Banking Law (16: 203-212, 2001)
Nieto, M. J. & Wall, L. D. ‘Preconditions for a Successful Implementation of Supervisors’ Prompt Corrective Action: Is There a Case for a Banking Standard in the EU?’ Journal of International Banking Regulation (7: 191-220, 2006)
Roldan, J. M. ‘ Basel II – an
Opportunity for Convergence in the EU’ Journal of Financial Regulation and Compliance (14: 24-28, 2006). Available at http://www.emeraldinsight.com/Insight/viewPDF.jsp?Filename=html/Output/Published/EmeraldFullTextArticle/Pdf/3110140103.pdf
Walker, G. A. European Banking Law – Policy and Programme Construction (Sir Joseph Gold Memorial) (British
Institute of
International and Comparative Law, 2006)
Regulation
Dempegiotis,
S. I. ‘The Hard to Drive Tandem of Immunity and Liability of Supervisory Authorities: Legal Framework and Corresponding Legal Issues’ Journal of Banking Regulations (9: 131-149, 2008)
Gray, J. ‘Lessons from the BCCI Saga for the Current Accountability Debate Surrounding Northern Rock?’ Journal of International Banking Law and Regulation (23: 37-43, 2008)
Hart, A. ‘Paul Davidson and Ashley Tatham v. FSA (2006) – the Case and its Implications’ Journal of International Banking Law and Regulation (22: 288-292, 2007)
Hewetson, C. & Khan, A. ‘Hoodless Brennan: Implications of the Tribunal’s Decision’ Journal of International Banking Law and Regulation (19: 146-149, 2004)
Parish, P. ‘The Human Rights of Banks and Financial Institutions: An Analysis of the Impact of the Human Rights Act 1998 on UK Financial Regulations’ Journal of International Banking Law (15: 236-242, 2000)
Tison, M. ‘Do Not Attack the Watchdog! Banking Supervisor’s Liability after Peter Paul’ Common Market Law Review (42: 639-675, 2005)
Anti Money Laundering
Brown, G. & Evans, T. ‘The Impact: The Breadth and Depth of the Anti-Money Laundering Provisions Requiring Reporting of Suspicious Activities’ Journal of International Banking Law and Regulation (274-277, 2008)
Ellinger, E. P. et al Modern Banking Law Chapter 4 (4th Edition, OUP, 2006)
Gill, M. & Taylor, G. ‘The Risk-based Approach to Tackling Money Laundering: Matching Risk to Products’ The Company Lawyer (24: 210-213, 2003)
Gill, M. & Taylor, G. ‘Preventing Money Laundering or Obstructing Business? Financial Companies’ Perspectives on “Know Your Customer” Procedures’ British Journal of Criminology (44: 582-594, 2004)
Mitsilegas, V. Money Laundering Counter-Measures in the European Union (Kluwer Law International, 2003)
Ryder, N. ‘A False Sense of Security? An Analysis of Legislative Approaches Towards the Prevention of Terrorist Finance in the and the ’ Journal of Business Law (821-850, 2007)
Ryder, N. ‘The Financial Services Authority and Money Laundering: a Game of Cat and Mouse’
Cambridge Law Journal (67: 635-653, 2008)
Stott, C. & Ullah, Z. ‘Money Laundering Regulations 2007: Part 1’ Journal of International Banking Law and Regulation (23: 175-178, 2008)
Stott, C. & Ullah, Z. ‘Money Laundering Regulations 2007: Part 2’ Journal of International Banking Law and Regulation (23: 283-286, 2008)
|