Author: Scott James
Publisher: Oxford University Press
ISBN: 0192564196
Category : Political Science
Languages : en
Pages : 239
Book Description
The UK and Multi-level Financial Regulation examines the role of the United Kingdom (UK) in shaping post-crisis financial regulatory reform, and assesses the implications of the UK's withdrawal from the European Union (EU). It develops a domestic political economy approach to examine how the interaction of three domestic groups - elected officials, financial regulators, and the financial industry - shaped UK preferences, strategy, and influence in international and EU-level regulatory negotiations. The framework is applied to five case studies: bank capital and liquidity requirements; bank recovery and resolution rules; bank structural reforms; hedge fund regulation; and the regulation of over-the-counter derivatives. It concludes by reflecting on the future of UK financial regulation after Brexit. The book argues that UK regulators pursued more stringent regulation when they had strong political support to resist financial industry lobbying. UK regulators promoted international harmonisation of rules when this protected the competitiveness of industry or enabled cross-border externalities to be managed more effectively; but were often more resistant to new EU rules when these threatened UK interests. Consequently, the UK was more successful at shaping international standards by leveraging its market power, regulatory capacity, and alliance building (with the US). But it often met with greater political resistance at the EU level, forcing it to use legal challenges to block reform or secure exemptions. The book concludes that political and regulatory pressure was pivotal in defining the UK's 'hard' Brexit position, and so the future UK-EU relationship in finance will most likely be based on a framework of regulatory equivalence.
The UK and Multi-level Financial Regulation
Author: Scott James
Publisher: Oxford University Press
ISBN: 0192564196
Category : Political Science
Languages : en
Pages : 239
Book Description
The UK and Multi-level Financial Regulation examines the role of the United Kingdom (UK) in shaping post-crisis financial regulatory reform, and assesses the implications of the UK's withdrawal from the European Union (EU). It develops a domestic political economy approach to examine how the interaction of three domestic groups - elected officials, financial regulators, and the financial industry - shaped UK preferences, strategy, and influence in international and EU-level regulatory negotiations. The framework is applied to five case studies: bank capital and liquidity requirements; bank recovery and resolution rules; bank structural reforms; hedge fund regulation; and the regulation of over-the-counter derivatives. It concludes by reflecting on the future of UK financial regulation after Brexit. The book argues that UK regulators pursued more stringent regulation when they had strong political support to resist financial industry lobbying. UK regulators promoted international harmonisation of rules when this protected the competitiveness of industry or enabled cross-border externalities to be managed more effectively; but were often more resistant to new EU rules when these threatened UK interests. Consequently, the UK was more successful at shaping international standards by leveraging its market power, regulatory capacity, and alliance building (with the US). But it often met with greater political resistance at the EU level, forcing it to use legal challenges to block reform or secure exemptions. The book concludes that political and regulatory pressure was pivotal in defining the UK's 'hard' Brexit position, and so the future UK-EU relationship in finance will most likely be based on a framework of regulatory equivalence.
Publisher: Oxford University Press
ISBN: 0192564196
Category : Political Science
Languages : en
Pages : 239
Book Description
The UK and Multi-level Financial Regulation examines the role of the United Kingdom (UK) in shaping post-crisis financial regulatory reform, and assesses the implications of the UK's withdrawal from the European Union (EU). It develops a domestic political economy approach to examine how the interaction of three domestic groups - elected officials, financial regulators, and the financial industry - shaped UK preferences, strategy, and influence in international and EU-level regulatory negotiations. The framework is applied to five case studies: bank capital and liquidity requirements; bank recovery and resolution rules; bank structural reforms; hedge fund regulation; and the regulation of over-the-counter derivatives. It concludes by reflecting on the future of UK financial regulation after Brexit. The book argues that UK regulators pursued more stringent regulation when they had strong political support to resist financial industry lobbying. UK regulators promoted international harmonisation of rules when this protected the competitiveness of industry or enabled cross-border externalities to be managed more effectively; but were often more resistant to new EU rules when these threatened UK interests. Consequently, the UK was more successful at shaping international standards by leveraging its market power, regulatory capacity, and alliance building (with the US). But it often met with greater political resistance at the EU level, forcing it to use legal challenges to block reform or secure exemptions. The book concludes that political and regulatory pressure was pivotal in defining the UK's 'hard' Brexit position, and so the future UK-EU relationship in finance will most likely be based on a framework of regulatory equivalence.
Global Challenges in Development, Finance and Education
Author: İsmail Şiriner
Publisher: IJOPEC PUBLICATION
ISBN: 1912503670
Category :
Languages : en
Pages : 177
Book Description
This book “Global Challenges in Development, Finance, and Education”, already the 5th volume in the Global Studies Series of IJOPEC, has been organized around current research interests of the participating authors from Turkish universities who study various aspects of global processes intersecting with social development and human rights, education, financing technologies for sustainable environment, and financial markets and public investments, amidst the anti-globalisation backlash in the post-2008 era. Besides globalization’s impact on societies, social institutions, and people, the unifying theme of this volume radiates a message of necessity to find an alternative economic model that promotes equality of chances, social stability and justice instead of growing inequality, double standards, and unfair competition under coercion of hegemonic interest groups.
Publisher: IJOPEC PUBLICATION
ISBN: 1912503670
Category :
Languages : en
Pages : 177
Book Description
This book “Global Challenges in Development, Finance, and Education”, already the 5th volume in the Global Studies Series of IJOPEC, has been organized around current research interests of the participating authors from Turkish universities who study various aspects of global processes intersecting with social development and human rights, education, financing technologies for sustainable environment, and financial markets and public investments, amidst the anti-globalisation backlash in the post-2008 era. Besides globalization’s impact on societies, social institutions, and people, the unifying theme of this volume radiates a message of necessity to find an alternative economic model that promotes equality of chances, social stability and justice instead of growing inequality, double standards, and unfair competition under coercion of hegemonic interest groups.
The European Union and the Eurozone under Stress
Author: John Theodore
Publisher: Springer
ISBN: 3319522922
Category : Business & Economics
Languages : en
Pages : 256
Book Description
This book explores the political and economic issues currently challenging EU member states affecting both the core Eurozone and non-core states. It analyses and explains how its own economic, and political, relationships have been critically influenced by fierce competition from its rivals in other major global economies, as well as by the systemic weaknesses in the economic and financial model it created. The book provides insight into both the underlying and more immediate economic and social challenges created by: its post-2007 enlargement to 28 countries - excluding the Balkan remnants of former Yugoslavia; the nature of the regulatory regime centralized in Brussels, and the host of issues and critiques this fosters; its ‘open borders’ policy and precious guiding principle, crystallized in the Schengen agreement; security weaknesses exacerbated by increasing volumes of migration; and the ongoing debt crises as the greatest existential challenge to the EU project. Featuring interviews with high profile key players from inside and outside Europe the book will examine new and underlying stresses - political and economic - to guide a greater understanding of the EU plan.
Publisher: Springer
ISBN: 3319522922
Category : Business & Economics
Languages : en
Pages : 256
Book Description
This book explores the political and economic issues currently challenging EU member states affecting both the core Eurozone and non-core states. It analyses and explains how its own economic, and political, relationships have been critically influenced by fierce competition from its rivals in other major global economies, as well as by the systemic weaknesses in the economic and financial model it created. The book provides insight into both the underlying and more immediate economic and social challenges created by: its post-2007 enlargement to 28 countries - excluding the Balkan remnants of former Yugoslavia; the nature of the regulatory regime centralized in Brussels, and the host of issues and critiques this fosters; its ‘open borders’ policy and precious guiding principle, crystallized in the Schengen agreement; security weaknesses exacerbated by increasing volumes of migration; and the ongoing debt crises as the greatest existential challenge to the EU project. Featuring interviews with high profile key players from inside and outside Europe the book will examine new and underlying stresses - political and economic - to guide a greater understanding of the EU plan.
Complexity's Embrace
Author: Oonagh E. Fitzgerald
Publisher: McGill-Queen's Press - MQUP
ISBN: 1928096646
Category : Political Science
Languages : en
Pages : 281
Book Description
An unprecedented political, economic, social, and legal storm was unleashed by the United Kingdom's June 2016 referendum to leave the European Union and the government's response to the vote. After decades of strengthening European integration and independence, Brexit necessitates a deep understanding of its international law implications on both sides of the English Channel in order to chart the stormy seas of negotiating and advancing beyond separation. In Complexity's Embrace, international law practitioners and academics from the United Kingdom, Europe, Canada and the United States look beyond the rhetoric of "Brexit Means Brexit" and "no agreement is better than a bad agreement" to explain the challenges that need to be addressed in the diverse fields of trade, financial services, insolvency, intellectual property, environment, and human rights. The authors in this volume articulate, with unvarnished clarity, the international law implications of Brexit, providing policy makers, commentators, the legal community, and civil society with critical information they need to participate in negotiating their future within or outside Europe. Complexity's Embrace explores the many unprecedented questions about the UK's future trading arrangements. Contributors include Thomas Cottier, Armand de Mestral, Oonagh E. Fitzgerald, David A. Gantz, Markus Gehring, Valerie Hughes, Matthias Lehmann, Eva Lein, Dorothy Livingston, Richard Macrory, Luke McDonagh, Marc Mimler, Howard P. Morris, Gabriel Moss, Helen Mountfield, Federico M. Mucciarelli, Joe Newbigin, Colm O’Cinneide, Damilola S. Olawuyi, Christoph G. Paulus, Maziar Peihani, Freedom-Kai Phillips, Stephen Tromans, Diana Wallis, and Dirk Zetzsche.
Publisher: McGill-Queen's Press - MQUP
ISBN: 1928096646
Category : Political Science
Languages : en
Pages : 281
Book Description
An unprecedented political, economic, social, and legal storm was unleashed by the United Kingdom's June 2016 referendum to leave the European Union and the government's response to the vote. After decades of strengthening European integration and independence, Brexit necessitates a deep understanding of its international law implications on both sides of the English Channel in order to chart the stormy seas of negotiating and advancing beyond separation. In Complexity's Embrace, international law practitioners and academics from the United Kingdom, Europe, Canada and the United States look beyond the rhetoric of "Brexit Means Brexit" and "no agreement is better than a bad agreement" to explain the challenges that need to be addressed in the diverse fields of trade, financial services, insolvency, intellectual property, environment, and human rights. The authors in this volume articulate, with unvarnished clarity, the international law implications of Brexit, providing policy makers, commentators, the legal community, and civil society with critical information they need to participate in negotiating their future within or outside Europe. Complexity's Embrace explores the many unprecedented questions about the UK's future trading arrangements. Contributors include Thomas Cottier, Armand de Mestral, Oonagh E. Fitzgerald, David A. Gantz, Markus Gehring, Valerie Hughes, Matthias Lehmann, Eva Lein, Dorothy Livingston, Richard Macrory, Luke McDonagh, Marc Mimler, Howard P. Morris, Gabriel Moss, Helen Mountfield, Federico M. Mucciarelli, Joe Newbigin, Colm O’Cinneide, Damilola S. Olawuyi, Christoph G. Paulus, Maziar Peihani, Freedom-Kai Phillips, Stephen Tromans, Diana Wallis, and Dirk Zetzsche.
European Economic Legal Order After Brexit
Author: Enzo Cardi
Publisher: Routledge
ISBN: 1000426130
Category : Business & Economics
Languages : en
Pages : 173
Book Description
This book takes an innovative approach to provide a mirror perspective of the legal systems of the UK and the EU in contemporary institutional scenarios. At the beginning of the second decade of the 21st century, the legal systems of the EU and the UK are facing challenges of epic proportions. Never before have the two legal orders been confronted with the simultaneous impact of a series of events. First, the effect of the “divorce” between the two regulatory systems caused by the UK’s withdrawal from the EU. The Negotiating Documents and the Draft Texts being discussed and aimed at leading to a `New Partnership’ are examined in the book. Second, the book discusses the impact of the coronavirus shock in all European economies leading to a substantial change of political perspective in the EU legal order implying innovative debt instruments. Third, it explores the consequences of the judicial activism of the German Constitutional Court undermining the strategic role of the European Central Bank and the primacy of the European Union Court of Justice. The book questions the effects deriving from the legacy, i.e. the foundations of the two legal systems, on handling the issues of our time, the impact on market regulation of the striking contemporary events and the unsettled consequences on policy of the current convulsing political and financial landscape. The book will be essential reading for those working in the areas of European public regulatory law.
Publisher: Routledge
ISBN: 1000426130
Category : Business & Economics
Languages : en
Pages : 173
Book Description
This book takes an innovative approach to provide a mirror perspective of the legal systems of the UK and the EU in contemporary institutional scenarios. At the beginning of the second decade of the 21st century, the legal systems of the EU and the UK are facing challenges of epic proportions. Never before have the two legal orders been confronted with the simultaneous impact of a series of events. First, the effect of the “divorce” between the two regulatory systems caused by the UK’s withdrawal from the EU. The Negotiating Documents and the Draft Texts being discussed and aimed at leading to a `New Partnership’ are examined in the book. Second, the book discusses the impact of the coronavirus shock in all European economies leading to a substantial change of political perspective in the EU legal order implying innovative debt instruments. Third, it explores the consequences of the judicial activism of the German Constitutional Court undermining the strategic role of the European Central Bank and the primacy of the European Union Court of Justice. The book questions the effects deriving from the legacy, i.e. the foundations of the two legal systems, on handling the issues of our time, the impact on market regulation of the striking contemporary events and the unsettled consequences on policy of the current convulsing political and financial landscape. The book will be essential reading for those working in the areas of European public regulatory law.
Brexit Negotiations After Article 50
Author: Alex de Ruyter
Publisher: Emerald Group Publishing
ISBN: 1787697673
Category : Political Science
Languages : en
Pages : 152
Book Description
This book aims to bring together contributors from academia, politics and practice to discuss and debate the progress (or lack of) to date since Prime Minister Theresa May enacted the Article 50 process to leave the EU on March 29th 2017.
Publisher: Emerald Group Publishing
ISBN: 1787697673
Category : Political Science
Languages : en
Pages : 152
Book Description
This book aims to bring together contributors from academia, politics and practice to discuss and debate the progress (or lack of) to date since Prime Minister Theresa May enacted the Article 50 process to leave the EU on March 29th 2017.
The Great Financial Plumbing
Author: Karel Lannoo
Publisher: Rowman & Littlefield
ISBN: 1783484292
Category : Business & Economics
Languages : en
Pages : 201
Book Description
The financial crisis has led to a far-reaching redesign of the European regulatory and supervisory framework. Following the commitments made in the context of the G-20, but also reacting to internal shortcomings, the EU engaged in a massive program to re-regulate financial markets. The EU furthermore redesigned the structure for supervisory cooperation, initially through the European Supervisory Authorities, and later in its ambition to form the Banking Union. In The Great Financial Plumbing, Karel Lannoo systematically assesses the new regulatory and supervisory framework. The book’s structure follows the big questions on the agenda: 1) What is Banking Union? 2) How have the concerns of the G-20 been addressed by the EU (oversight of credit-rating agencies, better capital for banks, the re-regulation of securities and derivatives markets, asset management, depositor protection and bank resolution)? 3) How were uniquely EU rules on state aid applied to the banking sector? This book is designed to give professionals, policy-makers and students a better understanding of the new regulatory framework and insights into the policy context that has led to the new rules governing financial markets in Europe.
Publisher: Rowman & Littlefield
ISBN: 1783484292
Category : Business & Economics
Languages : en
Pages : 201
Book Description
The financial crisis has led to a far-reaching redesign of the European regulatory and supervisory framework. Following the commitments made in the context of the G-20, but also reacting to internal shortcomings, the EU engaged in a massive program to re-regulate financial markets. The EU furthermore redesigned the structure for supervisory cooperation, initially through the European Supervisory Authorities, and later in its ambition to form the Banking Union. In The Great Financial Plumbing, Karel Lannoo systematically assesses the new regulatory and supervisory framework. The book’s structure follows the big questions on the agenda: 1) What is Banking Union? 2) How have the concerns of the G-20 been addressed by the EU (oversight of credit-rating agencies, better capital for banks, the re-regulation of securities and derivatives markets, asset management, depositor protection and bank resolution)? 3) How were uniquely EU rules on state aid applied to the banking sector? This book is designed to give professionals, policy-makers and students a better understanding of the new regulatory framework and insights into the policy context that has led to the new rules governing financial markets in Europe.
The Routledge Handbook of the Politics of Brexit
Author: Patrick Diamond
Publisher: Routledge
ISBN: 1351689479
Category : Political Science
Languages : en
Pages : 324
Book Description
The surprise decision expressed by the British people in the referendum held in June 2016 to leave the European Union was remarkable. It also presents a "natural experiment" where the exposure of a society to an extraordinary event allows scholars to observe, in real time in the real world, the interaction of variables. The Routledge Handbook of the Politics of Brexit takes stock of what we know in the social science community about the Brexit phenomenon so far and looks to make sense of this remarkable process as it unfolds. The book asks simple questions across a range of areas and topics so as to frame the debate into a number of navigable "subdiscussions", providing structure and form to what is an evolving and potentially inchoate topic. As such, it provides a systematic account of the background for, the content of, and the possible implications of Brexit. The handbook therefore does not examine in detail the minutiae of Brexit as it unfolds on a day-to-day basis but raises its sights to consider both the broad contextual factors that shape and are shaped by Brexit and the deeper sources and implications of the British exit from the European Union. Importantly, as interest in Brexit reaches far beyond the shores of the United Kingdom, so an international team of contributors examines and reveals the global implications and the external face of Brexit. The Routledge Handbook of the Politics of Brexit will be essential reading and an authoritative reference for scholars, students, researchers and practitioners involved in and actively concerned about research on Brexit, British politics, European Union politics, and comparative politics and international relations.
Publisher: Routledge
ISBN: 1351689479
Category : Political Science
Languages : en
Pages : 324
Book Description
The surprise decision expressed by the British people in the referendum held in June 2016 to leave the European Union was remarkable. It also presents a "natural experiment" where the exposure of a society to an extraordinary event allows scholars to observe, in real time in the real world, the interaction of variables. The Routledge Handbook of the Politics of Brexit takes stock of what we know in the social science community about the Brexit phenomenon so far and looks to make sense of this remarkable process as it unfolds. The book asks simple questions across a range of areas and topics so as to frame the debate into a number of navigable "subdiscussions", providing structure and form to what is an evolving and potentially inchoate topic. As such, it provides a systematic account of the background for, the content of, and the possible implications of Brexit. The handbook therefore does not examine in detail the minutiae of Brexit as it unfolds on a day-to-day basis but raises its sights to consider both the broad contextual factors that shape and are shaped by Brexit and the deeper sources and implications of the British exit from the European Union. Importantly, as interest in Brexit reaches far beyond the shores of the United Kingdom, so an international team of contributors examines and reveals the global implications and the external face of Brexit. The Routledge Handbook of the Politics of Brexit will be essential reading and an authoritative reference for scholars, students, researchers and practitioners involved in and actively concerned about research on Brexit, British politics, European Union politics, and comparative politics and international relations.
The Future of Financial Regulation
Author: Iain G MacNeil
Publisher: Bloomsbury Publishing
ISBN: 1847315712
Category : Law
Languages : en
Pages : 484
Book Description
The Future of Financial Regulation is an edited collection of papers presented at a major conference at the University of Glasgow in spring 2009, co-sponsored by the Economic and Social Research Council World Economy and Finance Programme and the the Australian Research Council Governance Research Network. It draws together a variety of different perspectives on the international financial crisis which began in August 2007 and later turned into a more widespread economic crisis following the collapse of Lehman Brothers in the autumn of 2008. Spring 2009 was in many respects the nadir since valuations in financial markets had reached their low point and crisis management rather than regulatory reform was the main focus of attention. The conference and book were deliberately framed as an attempt to re-focus attention from the former to the latter. The first part of the book focuses on the context of the crisis, discussing the general characteristics of financial crises and the specific influences that were at work this time round. The second part focuses more specifically on regulatory techniques and practices implicated in the crisis, noting in particular an over-reliance on the capacity of regulators and financial institutions to manage risk and on the capacity of markets to self-correct. The third part focuses on the role of governance and ethics in the crisis and in particular the need for a common ethical framework to underpin governance practices and to provide greater clarity in the design of accountability mechanisms. The final part focuses on the trajectory of regulatory reform, noting the considerable potential for change as a result of the role of the state in the rescue and recuperation of the financial system and stressing the need for fundamental re-appraisal of business and regulatory models.
Publisher: Bloomsbury Publishing
ISBN: 1847315712
Category : Law
Languages : en
Pages : 484
Book Description
The Future of Financial Regulation is an edited collection of papers presented at a major conference at the University of Glasgow in spring 2009, co-sponsored by the Economic and Social Research Council World Economy and Finance Programme and the the Australian Research Council Governance Research Network. It draws together a variety of different perspectives on the international financial crisis which began in August 2007 and later turned into a more widespread economic crisis following the collapse of Lehman Brothers in the autumn of 2008. Spring 2009 was in many respects the nadir since valuations in financial markets had reached their low point and crisis management rather than regulatory reform was the main focus of attention. The conference and book were deliberately framed as an attempt to re-focus attention from the former to the latter. The first part of the book focuses on the context of the crisis, discussing the general characteristics of financial crises and the specific influences that were at work this time round. The second part focuses more specifically on regulatory techniques and practices implicated in the crisis, noting in particular an over-reliance on the capacity of regulators and financial institutions to manage risk and on the capacity of markets to self-correct. The third part focuses on the role of governance and ethics in the crisis and in particular the need for a common ethical framework to underpin governance practices and to provide greater clarity in the design of accountability mechanisms. The final part focuses on the trajectory of regulatory reform, noting the considerable potential for change as a result of the role of the state in the rescue and recuperation of the financial system and stressing the need for fundamental re-appraisal of business and regulatory models.
After Brexit
Author: Nazaré da Costa Cabral
Publisher: Springer
ISBN: 3319666703
Category : Law
Languages : en
Pages : 438
Book Description
This topical and important book identifies the short to medium-term economic, financial and social consequences of Brexit. Containing perspectives from leading thinkers across legal, economic and financial fields, it considers both the general effect of UK withdrawal on the European integration process, and the specific impact on the free movement of capital, goods and people. Addressing the main areas within both the UK and the EU that can and will be affected by Brexit, including the financial sector, immigration, social rights and social security, After Brexit: Consequences for the European Union will make fascinating reading for all those currently engaged in the study and practice of Law, Economics, Finance, Political Science, Philosophy, History and International Affairs.
Publisher: Springer
ISBN: 3319666703
Category : Law
Languages : en
Pages : 438
Book Description
This topical and important book identifies the short to medium-term economic, financial and social consequences of Brexit. Containing perspectives from leading thinkers across legal, economic and financial fields, it considers both the general effect of UK withdrawal on the European integration process, and the specific impact on the free movement of capital, goods and people. Addressing the main areas within both the UK and the EU that can and will be affected by Brexit, including the financial sector, immigration, social rights and social security, After Brexit: Consequences for the European Union will make fascinating reading for all those currently engaged in the study and practice of Law, Economics, Finance, Political Science, Philosophy, History and International Affairs.