The latest Part of the Journal of Banking and Finance Law and Practice includes the following articles: “Shutting the Courts Out: Developing Consumer Credit Law in the Shadow of Alternative Dispute Resolution and the New Australian Financial Complaints Authority” – Nicola Howell; “ASIC v Citigroup Revisited: Are Agents in Syndicated Debt Facilities Fiduciaries?” – Nuncio D’Angelo; “A Singular Loyalty: Superannuation after the Hayne Royal Commission” – Pamela Hanrahan; and “Receivables Financing: A Comparative Study of s 81 of the PPSA and Other Legislative Overrides to Anti-Assignment Clauses” – William Kim. Also in this Part are the following Sections: Banking Law and Banking Practice; Securities and Mortgages; and Canada.
The latest Part of the Company and Securities Law Journal includes the following articles: “Directors of Insolvent Trustees and Trusts: Duties and Liabilities in Respect of Beneficiaries and Trust Creditors” – Nuncio D’Angelo; “Equity Crowdfunding in Australia: How Far Have We Come and Where to Next?” – Catie Moore; and “Articulating Care, Skill and Diligence Standards for Non-executive Directors” – Thea Voogt.
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.
The latest Part of the Australian Law Journal includes the following articles: “Lord Atkin: Principle and Progress” – P D T Applegarth; and “What’s in a Name?” – Justice Emilios Kyrou. Also in this Part are the following sections: Current Issues; Conveyancing and Property; Around the Nation: Tasmania; Personalia; Competition and Consumer Law; Recent Cases (Miller v The Queen, Compton v Ramsay Health Care Australia Pty Ltd, Hayward v Zurich Insurance Co plc, Versloot Dredging BV v HDI Gerling Industrie Versicherung AG); and Book Reviews.
The latest Part of the Australian Business Law Review includes the following articles: “Appeal rights, access regimes and anticompetitive conduct provisions” – are we getting the incentives right? – Richard York; “Solving the fiduciary puzzle – the bona fide and proper purposes duties of company directors” – Rosemary Teele Langford; and “Trustees’ limitation of liability: Myths, mysteries and a model clause” – Diccon Loxton and Nuncio D’Angelo. There is a review of the book “Consumer Law & Policy in Australia & New Zealand” by Justin Malbon and Luke Nottage.
The latest Part of the Journal of Banking and Finance Law and Practice publishes three interesting articles: “The CAMAC Report on managed investment schemes: Another opportunity missed?” – Nuncio D’Angelo; “The doctrine of merger and post-judgment contractual interest” – Sam Hiebendaal; and “If it waddles and quacks, it’s probably a duck: The New Zealand Supreme Court’s decision in Hickman v Turner and Waverley Ltd” – Mace Gorringe and Finn Howie. There are also several section notes, including Commercial and Financial Law; Book reviews; Recent Publications plus much more.
The final Part for 2011 of the Journal of Banking and Finance Law and Practice includes several interesting articles across a range of issues, including the new Product Disclosure Statement regime, personal property securities legislation in Australia, Canada and New Zealand, the case of Goodridge v Macquarie Bank and novation of (syndicated) loan agreements and an analysis of the rule in Inglis, the law of equity and new trends, plus much more.
The last issue of the Company and Securities Law Journal for 2011 includes articles on personal liability for corporate disclosure problems and the truth about limited liability with relation to equity investors in a unit trust. There is also a Corporate insolvency section discussing shadow directors and Buzzle v Apple, and a Corporate finance section discussing mining joint ventures and the legal infrastructure of sukuk structures.
The April 2011 Issue of the Australian Business Law Review contains articles on a range of topics, including vicarious liability in the law of tort, corporate group structures and their legal status, whether or not a managed investment schemes or trusts can be “insolvent” and insurance coverage after natural disasters. There are also sections on Environmental Law and Contracts and Restitution.