
Journal of Banking and Finance Law and Practice update: Vol 31 Pt 3
The latest Part of the Journal of Banking and Finance Law and Practice includes the following articles: “Reserve Bank of New Zealand Decision-Making – Is a Governance Board the Best Option for Prudential Regulation?” – Helen Dervan and Simon Jensen; “Community Standards and Expectations: Has There Been a Fundamental Shift in the Obligations on Financial Services Licensees under Pt 7.6 of the Corporations Act 2001 (Cth)?” – Patrick Hall; and “Conceptual Models of the PPSA Security Interest: Moving Beyond the Unitary/ Minimalist Dichotomy” – Adam Waldman. Also in this Part are the following Sections: Commercial and Finance Law: “Case Note: Westgem Investments Pty Ltd v Commonwealth Bank of Australia Ltd (No 6)” – JFW Cardell-Oliver; Hong Kong and China: “Luckin Coffee: A Chinese Fraud or Just Fraud?” – Fabian Roday and William Fotherby; Tokyo: “Amended Rules in Relation to Assignment of Accounts Receivable” – Masahiro Ueno; and United Kingdom and Europe: “Legislative Brinkmanship and Equivalence Decisions” – Deborah A Sabalot.
Journal of Banking and Finance Law and Practice Update: Vol 28 Pt 2
The latest Part of the Journal of Banking and Finance Law and Practice includes the following articles: “Regulating Financial Product Design in Australia: An Analysis of the UK Approach” – Rosie Thomas; “Difficulties with Derivatives? OTC Credit Derivatives and the Insurance Question” – Adam Fovent; and “Reviving the Incentive to Compromise in Corporate Restructure: The Role of Secondary Debt Markets” – William Stefanidis. Also in this Part are the following sections: Securities and Mortgages; Hong Kong and China; Singapore and South East Asia; Tokyo; and United Kingdom and Europe.
Journal of Banking and Finance Law and Practice Update: Vol 28 Pt 1
The latest Part of the Journal of Banking and Finance Law and Practice includes the following articles: “The Circulating Security Interest in Review: Architectures of Certainty, Flexibility and Control” – Alice Tranter Wilson; “Application of the Basel III Framework to Cash Deposits Held by APRA-regulated Superannuation Funds” – M Scott Donald; and “Enhancing Competition: Challenges for Australian Retail Banking” – Deborah Healey and Rob Nicholls. Also in this Part are the following sections: Banking Law and Banking Practice; Hong Kong and China; Singapore and South East Asia; and Tokyo.
Journal of Banking and Finance Law and Practice Update: Special Issue (Part 2) – December 2016
This latest edition of the Journal of Banking and Finance Law and Practice (JBFLP) is the second and final part of a Special Issue focusing on “Finance Law: Global and Regional Challenges”, and is produced in collaboration with the BFSLA Academic Committee. This Part includes the following articles: “Reviewing the Citibank securitisation case: Did it really challenge the integrity of equity?” – Helen M Dervan; “Reforming insolvent trading to encourage restructuring: Safe harbour or sleepy hollows?” – Jason Harris; “Minimising the risk of shadow directorship: Advice for distressed debt investors” – Adam Watterson. Also in this Part are the following sections: Banking Law and Banking Practice; Commercial and Finance Law; Insolvency Law and Management; Wealth Management; Hong Kong and China; New Zealand; and Singapore and Southeast Asia.
Journal of Banking and Finance Law and Practice update: December 2013
The latest part of JBFLP includes the following articles: “Tracing value and the value of tracing: Three puzzles for the banking lawyer” – Christopher Hare; “The legal status of online currencies: Are Bitcoins the future?” – Rhys Bollen; “Crowdfunding: Recent international developments and its compatibility with Australia’s existing regulatory framework” – Matthew Vitale. There are also several section notes in this Part, including Recent Publications, Securities and Mortgages and Financial Markets.