Company and Securities Law Journal update: May 2015
The latest Part of the Company and Securities Law Journal includes the following articles: “The duty to act in the best interests of the public entity in Victoria: Legal and empirical meanings” – Marco Bini; “Equitable money remedies against financial advisers who give “advice about advice”” – Simone Degeling and Jessica Hudson; “Integrated reporting and directors’ concerns about personal liability exposure: Law reform options” – Anna Huggins, Roger Simnett and Anil Hargovan; and the following sections: Company Law: “Enforcement of continuous disclosure laws by the Australian Securities and Investments Commission” – Ian Ramsay; and Directors’ Duties: “Conflicts, proactive disclosure and s 181 of the Corporations Act” – Rosemary Teele Langford.
Company and Securities Law Journal update: November 2014
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.