Fiduciary Law - Tamar Frankel (Author)

Fiduciary Law - Tamar Frankel (Author)
Fiduciary Law - Tamar Frankel
This is the best book on fiduciary law that I have ever seen! It explains absolutely everything including definitions, origins, and judicial actions. Today's America sometimes has trouble understanding responsibility, and taking responsibility for someone else is just as important as taking it for ourselves. Fiduciary duty is acting on behalf of another to do what they would do.

Book Description
Publication Date: December 17, 2010
In Fiduciary Law, Tamar Frankel examines the structure, principles, themes, and objectives of fiduciary law. Fiduciaries, which include corporate managers, money managers, lawyers, and physicians among others, are entrusted with money or power. Frankel explains how fiduciary law is designed to offer protection from abuse of this method of safekeeping. She deals with fiduciaries in general, and identifies situations in which fiduciary law falls short of offering protection. Frankel analyzes fiduciary debates, and argues that greater preventive measures are required. She offers guidelines for determining the boundaries and substance of fiduciary law, and discusses how failure to enforce fiduciary law can contribute to failing financial and economic systems. Frankel offers ideas and explanations for the courts, regulators, and legislatures, as well as the fiduciaries and entrustors. She argues for strong legal protection against abuse of entrustment as a means of encouraging fiduciary services in society. Fiduciary Law can help lawyers and policy makers designing the future law and the systems that it protects.

The Law of Banking and Financial Institutions

The Law of Banking and Financial Institutions
The Law of Banking and Financial Institutions Book Description
Publication Date: October 7, 2008 | ISBN-10: 0735552851 | ISBN-13: 978-0735552852 | Edition: 4
The Fourth Edition of The Law of Banking and Financial Institutions<\B> brings exciting renovations to a classic casebook. Comprehensive updating is just the beginning. The authors have expanded the old structure to include more coverage of non-bank financial institutions, such as insurance companies and mutual funds. Other topics have been reorganized to reflect modern trends. Visual aids virtual windows, for visual learners have been added to clarify concepts and reinforce text. And finally, engaging problem exercises have been added to create a more dynamic learning environment.

Tried-and-true features of The Law of Banking and Financial Institutions:

clear, concise explanations that simplify and clarify a complex field of law

lively and interesting note material and provocative discussion questions
careful selection and judicious editing of cases

fun problem sets, at graduating levels of difficulty, that reinforce concepts and give students practice applying law to specific facts

critical analysis of the unifying features of each topic from an economic perspective

complete, up-to-date, and detailed Teacher s Manual

Featured in the Fourth Edition:

coverage of non-bank financial institutions, such as insurance companies and mutual funds

expanded and updated treatment of bank/nonblank combinations under the Gramm-Leach-Bliley Act

unified organization of financial institutions, rather than focusing on depository institutions separately

generous use of tables to clarify concepts and promote understanding

additional problem sets that illustrate the application of the specific rules in each chapter, with answers in the Teacher s Manual

If you haven t seen the Fourth Edition, you haven t seen The Law of Banking and Financial Institutions. Come; take a look at the expanded coverage, updated organization, problem sets, examples, and visual aids that constitute an important renovation of this classic edifice.

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Law of Banking & Financial Institutions: 2011 Statutory Supplement

Law of Banking & Financial Institutions 2011 Statutory Supplement
Book Description Publication Date: September 6, 2011 | ISBN-10: 1454808276 | ISBN-13: 978-1454808275

The Law of Banking and Financial Institutions, 2011 Statutory Supplement, builds on the strengths of the authors' casebook, The Law of Banking and Financial Institutions, by providing relevant coverage of the United States Code and selected provisions of banking legislation in an easy-to-use format. Headings of all statutory subdivisions appear in boldface and top-of-page headers indicate the Act of Congress to which the provisions on that page belong.

Included in the 2011 Statutory Supplement:

Sherman and Clayton Acts
Securities Act of 1933
Expanded coverage of Securities Act of 1934
Additional provisions from the Investment Company Act of 1940
Investment Advisers Act of 1940
Selected provisions from Title 12 of The Code of Federal Regulations
Dodd-Frank Act

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International Finance, Transactions, Policy, and Regulation, 17th Edition (University Casebook)

International Finance, Transactions, Policy, and Regulation, 17th Edition (University Casebook)
This casebook is an authoritative introduction to international finance, transactions, policy, and regulations. The continuing expansion of U.S. capital market regulation is a major topic, as is the implementation of international accounting standards. The book is divided into five parts. Part One deals with the international aspects of major domestic markets; Part Two with infrastructure for financial markets; Part Three with instruments and offshore markets; Part Four with emerging markets; and Part Five with the fighting of terrorism. While the approach of this book is rooted in government policy and regulation, the book introduces students to basic financial concepts and transactions. The conception of the field is original and complements existing texts written for finance or economics courses. The book deals extensively with the financial crisis, including regulatory and legislative reforms that have followed in its wake.

Book Description
Publication Date: August 10, 2010 | ISBN-10: 1599418495 | ISBN-13: 978-1599418490 | Edition: 17

About the Author
Professor of Law, Harvard University. --This text refers to an out of print or unavailable edition of this title.

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Appeals Mechanism in International Investment Disputes

Appeals Mechanism in International Investment Disputes
This volume brings together significant contributions from leading voices in academia, the legal profession and government on the increasingly important topic of international investment and the legal system in which it operates. With the burgeoning size of international capital flows matched only by an explosion in international agreements intending to regulate the field, there is increasing potential for incoherence amongst and between treaties and arbitral decisions.

Appeals Mechanism in International Investment Disputes compiles, compares and contrasts the analysis and arguments of the leading scholars, practitioners and government officials on the future of the international investment law regime. Its special emphasis is on the question of an appellate body for international investment disputes. The authors also seek ways to streamline and improve the system, channeling the benefits of free trade and investment flows to people in both the developing and emerging markets. The Appendices provide readers with extensive background material to place the chapters into context. Selected sections include concise commentaries to further illuminate the timely themes covered by the chapters. The volume is singular in its success at bringing together so many exceptional individuals on a question of growing import-how to improve the international law regime to increase prosperity and further global development. If a reader wants to know what the influential voices in international law are saying right now, and in a concise and readable format, this is the publication to have.

Book Description
Publication Date: April 8, 2008 | ISBN-10: 0195341562 | ISBN-13: 978-0195341560

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