Content
August 2022, Volume 19, Issue 4
- 517-555 A More Socio-Environmentally Responsive Way toOrganise the Firm? A Case Study on Danish Social Enterprise Law
by Liptrap J. S. - 556-590 Loyalty Shares: an International Perspective. A Suitable Instrument to Fight Short-Termism?
by Torres Isabel Fernández - 591-621 Golden Power and Anti-Takeover Corporate Mechanisms
by Prenestini Francesca - 622-653 Binding Capital to Free Purpose: Steward Ownership in Germany
by Sanders Anne - 654-684 A New Start for the European Private Company: The Draft Statute for a “Société Européenne Simplifiée” (SES)
by Verse Dirk A.
June 2022, Volume 19, Issue 3
- 339-353 The New Greek Companies Act – Greek Company Law: Made in Greece or in Europe?
by Perakis Evanghelos - 354-389 A legislative approach to corporate governance of listed companies: The example of the new Greek Corporate Governance Law
by Livada Christina - 390-421 Related Party Transactions: Lessons From Regulation in Greece
by Vervessos Nikolaos - 422-444 The New Harmonized Protection of Creditors in Cross-Border Mergers
by Papadopoulos Thomas - 445-516 Disclosure and Enforcement under the EU Listing Act
by Veil Rüdiger & Wiesner Marc & Reichert Moritz
April 2022, Volume 19, Issue 2
- 175-202 Regulation of Shareholder Exits in Closely Held Companies – Reflections from Sweden
by Almlöf Hanna - 203-238 Mandatory Dematerialization of Shares in Polish Private Companies: A Missed Opportunity to Do Things Right
by Dybiński Jacek & Weber Anne-Marie - 239-271 Regulatory Barriers to Corporate Restructuring Through Disposition of Major Assets – A Serbian Perspective
by Radović Mirjana & Radović Vuk - 272-304 Robo-Advice as a Digital Finance Platform
by Zunzunegui Fernando - 305-338 Approaching the Danske Bank Scandal in a “Tragedy of the Commons” Perspective: Implications for Anti-Money Laundering Institutional Design and Regulatory Reforms in Europe
by Minto Andrea & Skovmand Rasmussen Niels
February 2022, Volume 19, Issue 1
- 3-39 Preliminary Procedures in Shareholder Derivative Litigation: A Beneficial Legal Transplant?
by Gelter Martin - 40-75 Credit Funds Regulation in the EU and the Debate on NPLS and AMCS: The Need for Further Harmonization
by Annunziata Filippo - 76-99 Enforcement of Fines and Other Pecuniary Obligations Imposed by the ECB: (Part II): National Level
by Hayden Helene - 100-127 Impact of the COVID-19 Pandemic on Company Law. Shareholders’ Meetings and Resolutions
by Pinior Piotr - 128-174 Sustainable Finance and Fintech: Can Technology Contribute to Achieving Environmental Goals? A Preliminary Assessment of ‘Green Fintech’ and ‘Sustainable Digital Finance’
by Macchiavello Eugenia & Siri Michele
December 2021, Volume 18, Issue 6
- 863-898 Internal Investigations, Whistleblowing and External Monitoring: Comparative Experiences, Economic Insights, Findings from Corporate Practice
by Hopt Klaus J. - 899-947 How to Behave Like a Good Banker?: The Dutch Banker’s Oath and the Dutch Banking Disciplinary Committee
by Laaper Peter & Busch Danny - 948-979 Climate Change Reporting and Due Diligence: Frontiers of Corporate Climate Responsibility
by Hösli Andreas & Weber Rolf H. - 980-1010 Protection of shareholders in cross-border mergers: the new harmonized rules
by Papadopoulos Thomas - 1011-1050 Enforcement of Fines and Other Pecuniary Obligations Imposed by the ECB (Part I): European Level
by Hayden Helene
December 2021, Volume 18, Issue 5
- 697-713 Related Party Transactions – a closer look at the emergence of the new EU regime
by Skog Rolf - 714-748 Breakthrough in Parent Company Liability: Three Shell Defeats, the End of an Era and New Paradigms
by van Dam Cees - 749-772 ‘Front’ or ‘Straw Men’ Directors: A Missing Element in the Effort to Prevent the Abuse of Companies?
by Engsig Sørensen Karsten - 773-793 The Judicial Control of a Cross-Border Merger approved by means of an abusive resolution: (The decisions of several Spanish courts resolving the conflict over the control of “Mediaset”)
by Recalde-Castells Andrés & Roncero-Sánchez Antonio - 794-819 Concerns About the Quality and Influence of Proxy Advisors, and Its Implications for the Preparations of the Shareholders Meeting
by Verdam Albert F. - 820-862 Majority of the Minority Approval of Related Party Transactions: the Analysis of Institutional Shareholder Voting
by Gözlügöl Alperen Afşin
August 2021, Volume 18, Issue 4
- 519-554 Wirecard and European Company and Financial Law
by Mock Sebastian - 555-587 Towards Harmonised Frameworks for the Liquidation of Non-Systemically Relevant Credit Institutions in the EU?: A Discussion of Policy Choices and Potential Impediments
by Binder Jens-Hinrich - 588-607 Creditor Protection and Divisions – Did the CJEU Get It Right?
by Alexandropoulou Antigoni & Winner Martin - 608-639 Go Preventive or Go Home – The Double Nature of MREL
by Martino Edoardo D. & Parchimowicz Katarzyna M. - 640-668 Shaped by the Rules. How Inducement Regulation Will Change the Investment Service Industry
by Restelli Enrico Rino - 669-696 Clawback Provisions in Executive Compensation Contracts
by Stark Johanna
June 2021, Volume 18, Issue 3
- 321-337 Shunning Banks or Depending on Them? Crypto Markets and the Rise of Crypto-Friendly Banking
by Athanassiou Phoebus L. - 338-376 Breaking Up Is Hard to Do – What Brexit Means for UK Insolvency and Restructuring Law
by McCormack Gerard - 377-397 The Recognition and Enforcement of UK Insolvency Proceedings in Spain After a Hard-Brexit. Special Reference to Schemes of Arrangement
by Flores Marta - 398-427 Accounting Concepts in Company Law
by Seehausen Jesper - 428-463 Behavioural Economic Influences on Primary Market Disclosure – The Case of the EU Regulation on European Crowdfunding Service Providers
by Serdaris Konstantinos - 464-516 Investment Services Regulation in Germany and Japan
by Baum Harald & Yamanaka Toshiaki
April 2021, Volume 18, Issue 2
- 161-189 Corporate Purpose: A Management Concept and its Implications for Company Law
by Fleischer Holger - 190-217 Reforming EU Company Law to Secure the Future of European Business
by Sjåfjell Beate - 218-243 Sustainable Corporate Governance: A Way Forward?
by Knapp Vanessa - 244-251 Discussion Report
by Stegmann Leoni - 252-255 Discussion Report
by Osier Margo - 256-290 The Inside Information Regime of the MAR andthe Rise of the ESG Era
by Mülbert Peter O. & Sajnovits Alexander - 291-320 Corporate Social Bonds: A Legal Analysis
by Lenzi Diletta
February 2021, Volume 18, Issue 1
- 2-33 Some Reflections on the Self-insider and the Market Abuse Regulation – The Self-insider as a Monopoly-Square Insider
by Lombardo Stefano - 34-75 Self-placement of Complex Financial Instruments by Banks to Retail Clients and Civil Liability Issues – An Overview of Greek Case-Law
by O. Mitsou Anna - 76-106 Composition and Qualifications of Credit Institutions’ Board of Directors: European Requirements and the Principle of Proportionality
by D. Tountopoulos Vassilios - 107-140 Third-Party Releases in Insolvency of Multinational Enterprise Groups
by Kokorin Ilya - 141-158 The Legal Background of Sovereign Wealth Funds and Their Role in National Economies
by András Kecskés
December 2020, Volume 17, Issue 6
- 601-618 Building a Capital Market – the Final Report of the High Level Forum on the EU Capital Market Union
by Langenbucher Katja - 619-656 Ownership and Governance of Central Banks: Insights from the Italian Experience
by Spolaore Piergiuseppe - 657-691 The Role of Deposit Guarantee Schemes in Preventing and Managing Banking Crises: Governance and Least Cost Principle
by Mecatti Irene - 692-725 Time to Reduce Complexity in a Data-Driven Regulatory Agenda – Perspectives on the MiFID II Best Execution Regime
by Krüger Andersen Peter - 726-759 Breach of the Mandatory Bid Rule: Minority Shareholders’ Protection in the Public vs. Private Enforcement Debate
by Agstner Peter & Mascheroni Davide Marchesini - 760-784 Written Resolutions in UK Companies Act 2006 and Their Possible Relevance beyond UK Borders
by Butturini Paolo
October 2020, Volume 17, Issue 5
- 419-436 A Critical Analysis of the Rationale for Financial Regulation Part I: Theories of Regulation
by Buttigieg Christopher P. & Consiglio John A. & Sapiano Gerd - 437-477 A Critical Analysis of the Rationale for Financial Regulation Part II: Objectives of Financial Regulation
by Buttigieg Christopher P. & Consiglio John A. & Sapiano Gerd - 478-521 European Legal Forms – Underlying Systematic and Principles
by Jung Stefanie - 522-557 Misselling in Self-placement and Bank Resolution under BRRD2
by Malvagna Ugo & Sciarrone Alibrandi Antonella - 558-600 European Insider Trading Theory Revisited: The Limits of the Parity-of-Information Theory and the Application of the Property Rights in Information Theory to Activist Investment Strategies
by Taleska Ana
June 2020, Volume 17, Issue 3-4
- 231-256 The Response of the European Central Bank to the Current Pandemic Crisis: Monetary Policy and Prudential Banking Supervision Decisions
by Gortsos Christos V. - 257-273 Pandemic-Resistant Corporate Law: How to Help Companies Cope with Existential Threats and Extreme Uncertainty During the Covid-19 Crisis
by Enriques Luca - 274-317 Corporate Law Rules in Emergency Times Across Europe
by Borselli Angelo & Miguel Ignacio Farrando - 318-352 Emergency COVID-19 Legislation in the Area of Insolvency and Restructuring Law
by Madaus Stephan & Arias F. Javier - 353-362 Takeover Bids in Europe in Times of a World-wide Pandemic Threat: A Delicate Balance Between the Fundamental Freedoms and the Protection of Europe’s and the Member States’ Strategic Assets
by Wyckaert Marieke - 363-385 EU Financial Market Governance and the Covid-19 Crisis: ESMA’s Nimble, Responsive, and Speedy Response in Coordinating National Authorities through Soft-Law Instruments
by Moloney Niamh & Conac Pierre-Henri - 386-418 Banning Cassandra from the Market? An Empirical Analysis of Short-Selling Bans during the Covid-19 Crisis
by Siciliano Gianfranco & Ventoruzzo Marco
April 2020, Volume 17, Issue 2
- 125-128 Editors’ Note: Europe Faces COVID-19
by Ventoruzzo Marco & Conac Pierre-Henri & Fleischer Holger & Lau Hansen Jesper & Kroeze Maarten J. & Merkt Hanno & Recalde Castells Andrés & Teichmann Christoph & Wyckaert Marieke - 129-154 Speak, If You Can: What Are You? An Alternative Approach to the Qualification of Tokens and Initial Coin Offerings
by Annunziata Filippo - 155-183 Financial Stability as the Objective of the Banking Union
by Bauerschmidt Jonathan Member of the Legal Service, Council of the European UnionBrüssel.Belgium The views expressed by the author are strictly personal and do not engage the institution for which he works. A previous version was published in Zeitschrift für das gesamte Handels- und Wirtschaftsrecht (ZHR) 183 (2019). - 184-199 UK and EU Company Law after Brexit
by Knapp Vanessa - 200-204 Discussion Report – UK and EU Company Law After Brexit
by Osier Margo - 205-230 Slovak Simple Joint Stock Company – Critical Review and Preliminary Assessment
by Patakyová Mária & Kačaljak Matej & Grambličková Barbora & Mazúr Ján & Dutková Patrícia
February 2020, Volume 17, Issue 1
- 1-2 Editors’ Note: Brexit, Butterflies and the International Organization of Securities Commissions (IOSCO)
by Conac Pierre-Henri & Ruiz Fabri Hélène - 3-10 The International Organization of Securities Commissions (IOSCO) and the New International Financial Architecture: What Role for IOSCO in the Development and Implementation of Cross-Border Regulation and Equivalence?
by Servais Jean-Paul - 11-34 Regulatory Cooperation in Securities Market Regulation: Perspectives from Australia
by Hill Jennifer G. - 35-71 Reflections on the EU Third Country Regime for Capital Markets in the Shadow of Brexit
by Moloney Niamh - 72-98 The International Organisation of Securities Commission (IOSCO), Europe, Brexit, and Rethinking Cross-border Regulation: A Call for a World Finance Organisation
by Conac Pierre-Henri - 99-124 The MiFIR and PRIIPs Product Intervention Regime: In Need of Intervention?
by Colaert Veerle
December 2019, Volume 16, Issue 6
- 677-686 Editors’ Note: Companies without Legal Capital and the Strange Case of Denmark
by Hansen Jesper Lau - 687-723 Climate Corporate Governance: Europe vs. USA?
by Bruno Sabrina - 724-745 Personal Data in Insolvency Proceedings: The Interface between the New General Data Protection Regulation and (German) Insolvency Law
by Hauck Ronny - 746-770 Restructuring Non-Performing Loans for Bank Recovery: Private Workouts and Securitisation Mechanisms
by Miglionico Andrea - 771-806 Arbitration of Corporate Law Disputes in Joint Stock Companies under Turkish Law: A Comparative Analysis
by Veziroglu Cem
October 2019, Volume 16, Issue 5
- 535-556 Regulations for Securitisation and Covered Bonds: Too Much or Too Little
by Arif Ahmed - 557-591 Adapting the European System of Financial Supervision (ESFS) to the EEA Two-Pillar Structure – A Workable Solution?
by Bergþórsson Andri Fannar - 592-621 The EU Experience as a Model for the Development of a Single Financial Market Regulation in the Eurasian Economic Union (EAEU)
by Kasyanov Rustam A. - 622-651 Reducing Legal Uncertainty and Regulatory Arbitrage for Robo-Advice
by Maume Philipp - 652-676 Legal Challenges of Cryptocurrencies: Isn’t It Time to Regulate the Intermediaries?
by Sotiropoulou Anastasia & Ligot Stéphanie
August 2019, Volume 16, Issue 4
- 415-433 Systemic Risk after Brexit: Transitional Measures for the Financial Markets
by Wymeersch Eddy - 434-456 Company Law, Connecting Factors and the Digital Age – A New Outlook
by Kurcz Bartlomiej & Paizis Athanasios - 457-483 A Decade after Lehman: An Assessment of Key Regulatory Responses to the Global Financial Crisis
by Kerkemeyer Andreas - 484-534 Dealing with Corporate Scandal under European Market Abuse Law: The Case of VW
by Hössl-Neumann Mario & Baumgartner Andreas
June 2019, Volume 16, Issue 3
- 273-309 Value Creation in Negotiations of Contractual Warranties and Indemnifications
by Jastrzębski Jacek - 310-348 Market Soundings: The Interaction between Securities Regulation and Company Law in the United Kingdom and Italy
by Lombardo Stefano & Mucciarelli Federico M. - 349-380 The New European Union Framework for Banking Crisis Management: Rules versus Discretion
by Brescia Morra Concetta - 381-414 Does Say on Pay Matter? Evidence from Germany
by Tröger Tobias H. & Walz Uwe
April 2019, Volume 16, Issue 1-2
- 3-14 The Company Law Package – Content and State of Play
by Teichmann Christoph - 15-43 Cross-Border Conversions in the EU: The EU Commission Proposal
by Garcimartín Francisco & Gandía Enrique - 44-73 Protection of Creditors and Minority Shareholders in Cross-border Transactions
by Winner Martin - 74-105 Corporate Mobility – The Involvement of Employees
by Roest Joti - 106-148 Digitalization and Corporate Law – A View from Germany
by Spindler Gerald - 149-189 Proposal Regarding the Use of Digital Tools and Processes in Company Law: The Practioner’s Perspective
by Álvarez Royo-Villanova Segismundo - 190-195 Discussion Report
by Knaier Ralf & Pfleger Jochen - 196-221 The Commission’s 2018 Proposal on Cross-Border Mobility – An Assessment
by Davies Paul & Emmenegger Susan & Ferran Eilís & Ferrarini Guido & Hopt Klaus J. & Moloney Niamh & Opalski Adam & Pietrancosta Alain & Roth Markus & Skog Rolf & Winner Martin & Winter Jaap & Wymeersch Eddy - 222-272 Cross-border Mergers, Divisions and Conversions: Accomplishments and Deficits of the Company Law Package
by Schmidt Jessica
December 2018, Volume 15, Issue 4
- 645-696 Crypto-Securities Regulation: ICOs, Token Sales and Cryptocurrencies under EU Financial Law
by Hacker Philipp & Thomale Chris - 697-731 Corporate Governance Codes and Groups of Companies: In Search of Best Practices for Group Governance
by Szabó Dániel Gergely & Sørensen Karsten Engsig - 732-771 Brexit and the Provision of Financial Services into the EU and into the UK
by Wymeersch Eddy - 772-804 Banking Crisis Management, Recovery and Resolution Planning, and “New Governance” Theory: Approaching “Living Wills” as a Public-Private Collaborative Form of Regulation
by Minto Andrea - 805-856 Director–Shareholder Dialogues Behind the Scenes: Searching for a Balance Between Freedom of Expression and Market Fairness
by Mosca Chiara
November 2018, Volume 15, Issue 3
- 445-448 The Continuing Importance of the Scheme of Arrangement as a Debt Restructuring Tool
by Payne Jennifer - 449-471 Debt Restructuring in the UK
by Payne Jennifer - 472-502 Reflections on English Law Schemes of Arrangement in Distress and Proposals for Reform
by Paterson Sarah - 503-515 Debt Restructuring in Germany
by Bork Reinhard - 516-552 Scheming against the Schemes: A New Framework to Deal with Business Financial Distress in Spain
by Tirado Ignacio - 553-584 The Singapore Story of Injecting US Chapter 11 into the Commonwealth Scheme
by Wee Meng Seng - 585-615 The Scheme of Arrangement as a Debt Restructuring Tool in India: Problems And Prospects
by Varottil Umakanth - 615-644 Path Dependence and Paradox in Harmonizing Out-of-court Procedures across Europe. The Evidence from Italy
by Mangano Renato
September 2018, Volume 15, Issue 2
- 197-235 Self-Dealing by Controlling Shareholders: Improving Minority Protection in Light of Article 9 c SRD
by Hallemeesch Nick - 236-269 The Norwegian Model for Access to the European Financial Markets: The Principles and Practicalities of the EEA States’ Solution to the Passporting Issue in Light of Brexit
by Kinander Morten - 270-307 Redefining the Freedom of Establishment under EU Law as the Freedom to Choose the Applicable Company Law: A Discussion after the Judgment of the Court of Justice (Grand Chamber) of 25 October 2017 in Case C-106/16, Polbud
by Mucha Ariel & Oplustil Krzysztof - 308-338 Protectionism and the EU Market for Corporate Control: Is It Possible to Get the Best of Both Worlds?
by Mukwiri Jonathan - 339-402 The Evolution of the Liability of Credit Rating Agencies in the United States and in the European Union: Regulation after the Crisis
by Picciau Chiara - 403-444 Harmonization of European Insolvency Law: Preventing Insolvency Law from Turning against Creditors by Upholding the Debt–Equity Divide
by de Weijs R.J.
June 2018, Volume 15, Issue 1
- 1-40 Non-frustration Rule and Mandatory Bid Rule – Cornerstones of European Takeover Law?
by Habersack Mathias - 41-68 The Spanish and the European Codification of the Business Judgment Rule
by Hernando Cebriá Luis - 69-100 An Analysis of the Prospectus Regime: The EU Reforms and the ‘Brexit’ Factor
by Howell Elizabeth - 101-122 Small Partnership Company Form as a Vehicle for Small and Medium-sized Businesses in Lithuania: Is the Theoretical Model Effective in Practice?
by Mikaloniene Lina - 123-147 Legal Protection against Decisions of the Single Resolution Board pursuant to Article 85 Single Resolution Mechanism Regulation
by Skauradszun Dominik - 148-196 ‘Baby, it’s cold outside ...’ – A Comparative and Economic Analysis of Freeze-outs of Minority Shareholders
by Vos Tom
December 2017, Volume 14, Issue 4
- 569-608 Educating Bankers on Law, Ethics and Social Values: A Perspective from the US, the UK and Europe
by Arsalidou Demetra - 609-636 Corporate Directors:In Search of a European Normative Model for Legal Persons as Board Members
by Talens Paula del Val - 637-661 Europeanisation of Financial Markets Regulation in Times of Brexit
by Kämmerer Jörn Axel - 662-722 Financial-return Crowdfunding and Regulatory Approaches in the Shadow Banking, FinTech and Collaborative Finance Era
by Macchiavello Eugenia - 723-774 Corporate Indemnification: Experiences in USA and Developments in Germany, Italy and Portugal
by Ramos Maria Elisabete Gomes
October 2017, Volume 14, Issue 3
- 399-433 Corporate accountability: non-financial disclosure and liability – A French perspective
by Barsan Iris - 435-457 Improving the Quality of the Comply or Explain Approach and Introducing Self-Monitoring Through Online Feedbacks
by Mangano Renato - 458-489 Manipulation in Illiquid Markets – A Tale of Inefficiency?
by Tountopoulos Vassilios D. - 490-567 (BR)EXIT from the EU: A Legal Perspective
by Told Julia
August 2017, Volume 14, Issue 2
- 236-238 Opening Remarks
by Hirte Heribert Editor-in-Chief, the European Company and Financial Law Review (ECFR). GermanyFinancial Law Review - 239-241 Opening Remarks
by Pind Søren - 242-251 Capital Markets Union – One Year On From the Action Plan
by Parmentier Miriam Dr. iur. utr., LL.M. (Columbia Univ.). The author is a Seconded National Expert at the European Commission, Directorate General for Financial Stability, Financial Services and Capital Markets Union. This article reproduces her presentation at the EFCR Conference on ‘The European Capital Markets Union (CMU) and other Current Developments’ on 30 September 2016 at Copenhagen (footnotes added). The manuscript has been updated for publication to reflect progress on various CMU initiatives until 28 February 2017. It does not yet reflect the Communication from the Commission to the European Parliament, the Council, the European Economic and Social Committee and the Committee of the Regions on the Mid-Term Review of the Capital Markets Union Action Plan, COM(2017) final of 8 June 2017. The views expressed herein are her personal views only and do not necessarily reflect those of the European Commission. Belgium - 252-268 The Effects of Brexit on the Law of Companies and Financial and Legal Services in Europe: A Summary Overview
by Hellwig Hans-Jürgen Partner, Hengeler Mueller, Frankfurt am Main; Dr. iur., Bonn University; Honorary Professor, European Company Law, Heidelberg University; Past President, Council of the European Bars and Law Societies (CCBE). The article reflects the oral presentation of September 30, 2016 with minor factual updating up to January 31, 2017.Frankfurt am MainGermanyBonn University; Honorary Professor, European Company Law, Heidelberg University - 268-270 Symposium Discussion Report: First Session The State of the (Capital) Union
by Kambjerre Andreas Sams - 271-313 Market Building and the Capital Markets Union: Addressing Information Barriers in the SME Funding Market
by Schammo Pierre - 314-315 Symposium Discussion Report: Second Session Improving Access to Finance
by Kambjerre Andreas Sams Ph.D. Fellow, University of Copenhagen, Faculty of Law.University of CopenhagenFaculty of Law Denmark - 316-335 The Cost of Capital – the Normative Foundation of Corporate Law: A Reply
by Paterson Sarah - 336-364 Market-based financing in the Capital Markets Union: The European Commission’s Proposals to Foster Financial Innovation in the EU
by Kumpan Christoph - 364-366 Symposium Discussion Report: Third Session Developing and Diversifying the Supply of Funding
by Kambjerre Andreas Sams Ph.D. Fellow Law University of Copenhagen, Faculty of Law.Ph.D. Fellow Law University of Copenhagen, Faculty of LawCopenhagenDenmark - 367-390 Market Abuse Case Law –Where Do We Stand With MAR?
by Hansen Jesper Lau Professor, Dr. Juris, Forum for Company Law and Financial Markets Law (FOCOFIMA), University of Copenhagen. The article is based on a presentation given at the 11th ECFR Symposium in Copenhagen on 30 September 2016.CopenhagenUniversity of CopenhagenDenmark - 391-395 Symposium Discussion Report: Fourth Session Improving Market Effectiveness: Intermediaries, Infrastructures, and the Broader Legal Framework
by Bergþórsson Andri Fannar - 396-397 Symposium Discussion Report: Fifth Session SUP, SPE and Beyond (the EMCA Project)
by Bergþórsson Andri Fannar
March 2017, Volume 14, Issue 1
- 1-36 Regulating Proxy Advisors Through Transparency: Pros and Cons of the EU Approach
by Balp Gaia - 37-72 Fiat Chrysler Automobiles and the New Face of the Corporate Mobility in Europe
by Pernazza Federico - 73-93 Corporate Directors’ Liability in Polish Law
by Jastrzębski Jacek - 94-120 Conditions and Obligations in ECB Supervisory Decisions as Ancillary Provisions under SSM Law
by Lo Schiavo Gianni - 121-148 Crowdfunding and the Small Offering Exemption in European and US Prospectus Regulation: Striking a Balance Between Investor Protection and Access to Capital?
by Härkönen Elif - 149-186 The Conundrum of Hedge Fund Definition
by Nabilou Hossein - 187-233 Almost Capital-less Companies in Europe: Trends, Variations, Competition
by Bartolacelli Alessio
October 2016, Volume 24, Issue 13
- 467-494 The European Central Bank and Banking Supervision: The Regulatory Limits of the Single Supervisory Mechanism
by Alexander Kern - 495-516 The Optimal Scope of Disclosure by Association Regime under MAR
by Knuts Mårten - 517-545 A Hat That Fits on Different Heads? The Proposed Regulation on Money Market Funds and the System of EU Investment Law
by Rehahn Johannes
December 2016, Volume 13, Issue 4
- 549-574 The New Law of Piercing the Corporate Veil in the UK
by Schall Alexander - 575-598 Cross‐border coordination of bank resolution in the EU: All problems resolved?
by Binder Jens-Hinrich - 599-630 Turning Up the Heat? EU Sustainability Goals and the Role of Reporting under the Non-Financial Reporting Directive
by Ahern Deirdre - 631-664 The Regulation of Outsider Trading in EU and the US
by Gilotta Sergio - 665-707 The New Italian Almost Capital-less Private Companies: A Brand New Tile in the Mosaic
by Bartolacelli Alessio
July 2016, Volume 13, Issue 2
- 198-199 Welcome Address to the 10th ECFR Symposium
by Hirte Heribert - 200-214 The EMCA: General Principles and Main Content
by Perakis Evanghelos - 215-253 Shares in the EMCA:
by Wulf Hans De - 254-268 Chapter 12 “Annual Accounting and Auditing” of EMCA: A Critical Review
by Hommelhoff Peter - 269-276 Director’s’ Duties and Conflicts of Interest in the EMCA
by Antunes José Engrácia & Naharro Mónica Fuentes - 277-300 Corporate Restructuring under the EMCA
by Teichmann Christoph - 301-321 The Chapter on Groups of Companies of the European Model Company Act (EMCA)
by Conac Pierre-Henri - 322-350 Bankruptcy and Liquidation: Current Legal Situation in European and International Context, Solutions under the European Model Company Act (EMCA)
by Patakyová Mária & Gramblicková Barbora - 351-362 A Model Company Act and A Model Company Court
by Gilson Ronald J. - 363-369 A U.S. View of the European Model Company Act
by Klausner Michael - 370-372 Discussions Report: Reorganization of Companies
by Schmidt Lena - 373-374 Discussion Report: Formation of Companies
by Fröhlich Andrea - 376-423 Institutional Governance and Capital Markets Union: Incrementalism or a “Big Bang”?
by Moloney Niamh - 424-452 Regulation and Taxation of the Financial Markets
by Schön Wolfgang - 453-466 Georgian Supreme Court Redefines Personal Liability of Shareholders and Directors
by Narmania Giorgi
March 2016, Volume 13, Issue 1
- 1-30 Private International Law Rules in the Insolvency Regulation Recast: A Reform or a Restatement of the Status Quo?
by Mucciarelli Federico M. - 31-54 The Principle of Mutual Recognition in the European Internal Market With Special Regard to the Cross-Border Mobility of Companies
by Behme Caspar - 55-72 Purposes and Tools of the Market for Corporate Control
by Benocci Alessandro - 73-105 Related-Party Transactions and the Intricacies of Ex Post Judicial Review: The Parmalat/Lactalis Case
by Pomelli Alessandro - 106-156 Proxy Advisors in the Voting Process: Some Considerations for Future Regulation in Europe
by Córcoles Ascensión Gallego - 157-196 Shadow Banking: The Blind Spot in Banking and Capital Markets Reform
by Muñoz David Ramos
December 2015, Volume 12, Issue 4
- 489-539 The Reform of Deposit Guarantee Schemes in Europe
by Payne Jennifer - 563-571 The Importance of Profit in Company Law – a Comment from a Swedish Perspective
by Skog Rolf
November 2015, Volume 12, Issue 4
- 489-538 A Political Narrative of Nordic Corporate Governance: Shareholders, Stakeholders and Change of Control
by Ilmonen Klaus R.
October 2015, Volume 12, Issue 3
- 307-340 New EU Directive on the Disclosure of Non-Financial Information (CSR)
by Szabó Dániel Gergely & Sørensen Karsten Engsig