Market risk, corporate governance, and the regulation of financial firms


Casson, P.D. (1996) Market risk, corporate governance, and the regulation of financial firms Journal of Financial Regulation and Compliance, 4, (2), pp. 134-143.

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Description/Abstract

Proposals and recommendations have been made in a number of reports in an attempt to encourage firms to adopt of "best practice", as identified by the Group of Thirty, through public disclosure requirements and rules for determining the amount of regulatory capital to support trading and derivatives activities.

Item Type: Article
ISSNs: 1358-1988 (print)
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ePrint ID: 36842
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Date Event
1996Published
Date Deposited: 08 Mar 2007
Last Modified: 16 Apr 2017 22:05
Further Information:Google Scholar
URI: http://eprints.soton.ac.uk/id/eprint/36842

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