Australian Prudential Regulation Authority
The last Part for the 2014 Volume of C&SLJ includes the following articles: “Fiduciary obligations, financial advisers and FOFA” – Simone Degeling and Jessica Hudson; “The potential for superannuation funds to make investments with a social impact” – M Scott Donald, Jarrod Ormiston and Kylie Charlton; “A shareholder’s contractual right to a dividend and a company’s oppressive conduct in withholding dividend payments: Sumiseki Materials Co Ltd v Wambo Coal Pty Ltd” – Jean du Plessis and Stephen Alevras; “Timely public disclosure of company information: A likely precondition for optimal long-term corporate and national outcomes” – Gill North; and “Basel III’s effect on the Australian market” – Siobhan Caitlin Sweeney.
The September 2011 issue of the Journal of Banking and Finance Law and Practice has three articles and four section notes on various themes in banking law, both in Australia and internationally. The articles cover such diverse topics as the regulation of the Australian banking system, an overview of the regulatory structure created by the Dodd-Frank Wall Street Reform and Consumer Protection Act and best practice in the regulation of non-cash payment services. The sections include notes on insolvency law and management, banking law and banking practice and a report from Tokyo.