[Writings pertaining to European and international private, banking and commercial law] Europeanization and internationalization challenge the realm of jurisprudence to an extraordinary degree. The division in special fields and the relationship with other social sciences necessitate critical reevaluation in view of many interactions. Cross-references between commercial law regulation and private, autonomous arrangement distinctly show this development. Jurisprudence emerging beyond Germany has to deal with such challenges. The law of financial services serves as an example of the cross-section material from private law and (public) commercial law. This takes into account the series at hand in terms of content and method. In addition to banking, capital market and financial law as the main emphasis, corporate law, competition & cartel law, intangible property rights, insolvency law and also labor law show similar overlaps. The intensive internationally-oriented treatment of the overlaps of classical private law - in particular contractual law - and commercial law promise a bountiful yield, especially on the European level under the summarizing aspect of corporate law. The outstanding monography also finds its place in the series, as well as the conference volume, works in German and also occasional works in English. There are economically-aligned works in addition to juridical works constituting the main emphasis. Works pertaining to Europeanization and internationalization are compiled in the series, which convey commercial law and commercially-conceived private law in an outstanding manner.
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A symposium entitled "Protecting Investors through Capital Market Legislation" was held in November 2004 on the occasion of the 65th birthday of Eberhard Schwark. This focussed on the developments of capital market legislation in Germany and Europe.
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Kapitel 1: Symposium Prof. E. Schwark zu Ehren (Prof. Dr. Martin Weber) · Kapitel 2: Anlegerschutz in Deutschland im Lichte der Brüsseler Richtlinien (Karl-Burkhard Caspari) · Kapitel 3: Das moderne Verständnis von Compliance im Finanzmarktrecht (Dr. Thomas Lösler) · Kapitel 4: Emissionspublizität und informationelle Gleichbehandlung der Anleger (Dr. Laurenz Wieneke) · Kapitel 5: Vermögensbindungsprinzip und Anlegerschutz (Prof. Dr. Hartwig Henze) · Kapitel 6: Die rechtliche Verfassung des Marktes für Unternehmenskontrolle nach Verabschiedung der Übernahme-Richtlinie (Prof. Dr. Dr. Stefan Grundmann, LL.M. (Berkeley)) · Kapitel 7: Zur „Holzmüller“-Doktrin nach „Gelatine“ (Prof. Dr. Reinhard Marsch-Barner · Kapitel 8: Nicht-geschäftsführende Direktoren, Haftungsrisiko und Corporate Governance: Eine rechtsvergleichende Analyse (Prof. Brian R. Cheffins, Prof. Bernard S. Black, Prof. Michael Klausner)
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Produktdetaljer

ISBN
9783899493054
Publisert
2006-02-21
Utgiver
Vendor
De Gruyter
Vekt
423 gr
Aldersnivå
P, 06
Språk
Product language
Tysk
Format
Product format
Innbundet
Antall sider
154

Om bidragsyterne

Stefan Grundmann, Hans-Peter Schwintowski, Reinhard Singer und Martin Weber, Humboldt-Universität zu Berlin.