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Forms and paradoxes of principles-based regulation

Citations

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Cited by:

  1. Pečarič Mirko, 2020. "Regulatory Cybernetics: Adaptability and Probability in the Public Administration’s Regulations," NISPAcee Journal of Public Administration and Policy, Sciendo, vol. 13(1), pages 133-156, June.
  2. Sharon Gilad, 2011. "Institutionalizing fairness in financial markets: Mission impossible?," Regulation & Governance, John Wiley & Sons, vol. 5(3), pages 309-332, September.
  3. Pedro M. Batista, 2026. "Escalation without enforcement: hidden grace periods in tiered bank supervision," Journal of Banking Regulation, Palgrave Macmillan, vol. 27(2), pages 1-19, June.
  4. Eleanore Hickman & Alan Brener, 2025. "The Senior Managers and Certification Regime in UK practice and global context," Journal of Banking Regulation, Palgrave Macmillan, vol. 26(3), pages 356-369, September.
  5. Colin J. Bennett & Charles D. Raab, 2020. "Revisiting the governance of privacy: Contemporary policy instruments in global perspective," Regulation & Governance, John Wiley & Sons, vol. 14(3), pages 447-464, July.
  6. Tanguay, Louis & Bissonnette, Jean-François & Calmé, Sophie & Koutouki, Konstantia & Turgeon, Katrine, 2025. "Enhancing natural habitats conservation success on private lands by understanding and addressing deficiencies in social capital," Land Use Policy, Elsevier, vol. 157(C).
  7. Kenneth Patrick Vincent O'Sullivan & Stephen Kinsella, 2013. "Financial and regulatory failure: The case of Ireland," Journal of Banking Regulation, Palgrave Macmillan, vol. 14(1), pages 1-15, January.
  8. Blánaid Clarke & Niamh Hardiman, 2012. "Crisis in the Irish Banking System," Working Papers 201203, Geary Institute, University College Dublin.
  9. Maroun, Warren & van Zijl, Wayne, 2016. "Isomorphism and resistance in implementing IFRS 10 and IFRS 12," The British Accounting Review, Elsevier, vol. 48(2), pages 220-239.
  10. Judith van Erp, 2011. "Naming without shaming: The publication of sanctions in the Dutch financial market," Regulation & Governance, John Wiley & Sons, vol. 5(3), pages 287-308, September.
  11. Shaun Elder, 2014. "Does the GFC as a change agent of financial regulatory models and approaches in Europe provide lessons for Asia?," Asia Europe Journal, Springer, vol. 12(4), pages 419-430, December.
  12. Sharon Gilad, 2010. "It runs in the family: Meta‐regulation and its siblings," Regulation & Governance, John Wiley & Sons, vol. 4(4), pages 485-506, December.
  13. Berryl Claire Asiago, 2017. "Rules of Engagement: A Review of Regulatory Instruments Designed to Promote and Secure Local Content Requirements in the Oil and Gas Sector," Resources, MDPI, vol. 6(3), pages 1-19, September.
  14. Wendy Currie & Jonathan Jm Seddon, 2022. "Exploring technological instantiation of regulatory practices in entangled financial markets," Post-Print hal-03599145, HAL.
  15. Franklin Nakpodia & Emmanuel Adegbite & Kenneth Amaeshi & Akintola Owolabi, 2018. "Neither Principles Nor Rules: Making Corporate Governance Work in Sub-Saharan Africa," Journal of Business Ethics, Springer, vol. 151(2), pages 391-408, August.
  16. Maroun, Warren & Atkins, Jill, 2014. "Section 45 of the Auditing Profession Act: Blowing the whistle for audit quality?," The British Accounting Review, Elsevier, vol. 46(3), pages 248-263.
  17. Paul Sanderson & David Seidl & John Roberts, 2013. "The Limits of Flexible Regulation: Managers' Perceptions of Corporate Governance Codes and 'Comply-or-Explain'," Working Papers wp439, Centre for Business Research, University of Cambridge.
  18. Maroun, Warren, 2017. "Assuring the integrated report: Insights and recommendations from auditors and preparers," The British Accounting Review, Elsevier, vol. 49(3), pages 329-346.
  19. Justin Logie & Warren Maroun, 2021. "Evaluating Audit Quality Using the Results of Inspection Processes Performed by an Independent Regulator," Australian Accounting Review, CPA Australia, vol. 31(2), pages 128-149, June.
  20. Rebecca Lewis, 2018. "A “Principled” Approach to International Guidance for Central Counterparties," Chicago Fed Letter, Federal Reserve Bank of Chicago.
  21. Arien Hof, 2017. "Designing macroprudential regulation and supervision outside the scope of the banking union: Lessons from the Netherlands and Ireland," Journal of Banking Regulation, Palgrave Macmillan, vol. 18(3), pages 201-212, July.
  22. Jeannie Paterson & Gerard Brody, 2015. "“Safety Net” Consumer Protection: Using Prohibitions on Unfair and Unconscionable Conduct to Respond to Predatory Business Models," Journal of Consumer Policy, Springer, vol. 38(3), pages 331-355, September.
  23. Cafaggi Fabrizio & Janczuk Agnieszka, 2010. "Private Regulation and Legal Integration: The European Example," Business and Politics, De Gruyter, vol. 12(3), pages 1-42, October.
  24. Cristie Ford, 2013. "Innovation-Framing Regulation," The ANNALS of the American Academy of Political and Social Science, , vol. 649(1), pages 76-97, September.
  25. Heikki Marjosola, 2021. "The problem of regulatory arbitrage: A transaction cost economics perspective," Regulation & Governance, John Wiley & Sons, vol. 15(2), pages 388-407, April.
  26. Wang, Ruizhe & Chua, Wai Fong & Simnett, Roger & Zhou, Shan, 2024. "Is greater connectivity of financial and non-financial information in annual reports valued by market participants?," The British Accounting Review, Elsevier, vol. 56(6).
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