Content
2024, Volume 21, Issue 3-4
- 269-306 269Redefining the Conceptual Ground of Corporate Governance Regulation
by Kecskés András & Halász Vendel - 307-344 307Legal Transplants of Shareholder Voting Rights in the European Union – Evidence from the Past, Consequences for the Future
by Corgatelli Michele - 345-366 345Determining Economic Loss Due to Misrepresentations on the Stock Market Using Forward Casting
by Pijls Arnoud C.W. - 367-397 367Delisting Costs and Corporate Mobility in Europe
by Chan Jonathan & Gerner-Beuerle Carsten - 398-416 398Regulation of Takeover Bids in a Global Context
by Sjöman Erik - 417-441 417Cross-border Mobility of Insolvent Companies Within the European Union
by Mastrullo Thomas - 442-471 442The Assurance of Corporate Sustainability Reports and the Renewed Role of Certified Auditors
by Ruohonen Janne & Kullas Helmi - 472-530 472The Sanctions Principles-Based Regulation: A Blueprint for a New Approach for the EU Sanctions Policy (Part II)
by Khort Iuliia
2024, Volume 21, Issue 2
- 129-156 From London to the Continent: Rethinking Corporate Governance Codes in Europe
by Marchetti Piergaetano & Passador Maria Lucia - 157-191 Traditional and Digital Limits of Collective Investment Schemes
by Sinnig Julia & Zetzsche Dirk A - 192-233 The Sanctions Principles-Based Regulation: A Blueprint for a New Approach for the EU Sanctions Policy (Part I)
by Khort Iuliia - 234-268 Tax Reforms and the Decline of the London Stock Market: The Untold Story
by Gomtsian Suren & Schuster Edmund
February 2024, Volume 21, Issue 1
- 1-38 The Regulation of Corporate Governance in European Financial Market Infrastructures: A Critique
by Ferran Eilís & Hickman Eleanore - 39-66 Duty of Loyalty: Corruption of Company Directors and Prohibition of External Remuneration
by Navarro Frías Irene - 67-103 Cybersecurity and Online Formation of Companies in the Netherlands, Belgium, and Germany
by Salemink Tom & Wolters Pieter & De Wulf Hans - 104-128 The Strategic Importance of Public Recapitalisation in Banking Resolution, What Ireland Can Tell
by Lefeuvre Elise
December 2023, Volume 20, Issue 5-6
- 759-793 Liability of the Economic Unit – A General Principle of EU Law?
by Weller Marc-Philippe & Habrich Victor & Korn Laura & Zimmermann Anton - 794-821 The Management and the Advice of (Un)Explainable AI
by Dubovitskaya Elena & Buchholz Annika - 822-865 U. S. vs. EU Insider Trading Regulation: Risks and Challenges from a European Perspective
by Remund Cédric & Tuchmann Paul - 866-886 The Polish Model of a Limited Joint-Stock Partnership in Comparison with Other European Legal Systems
by Moszyńska Anna & Sikorska-Lewandowska Aleksandra & Kłoda Mariusz T. - 887-912 Implementation of the Provisions of Directive 2017/1132 on Openness and Reliability of Registers in Poland and Other Selected EU Countries
by Garnowski Konrad - 913-935 Third Party Release in Group-Wide Restructuring Proceedings: Comparative Remarks to Support the Application of Such a Rule in the Italian Legal System
by Benedetti Lorenzo - 936-963 Proportionality in the European Banking Law.Lessons from Silicon Valley Bank
by Arrigoni Matteo & Restelli Enrico Rino - 964-984 Does EU Regulation Adequately Address the Tension between CCPs Shareholders’ and Clearing Members’ Incentives?
by Sotiropoulou Anastasia
December 2023, Volume 20, Issue 4
- 591-592 Gerald Spindler (1960–2023)
by Teichmann Christoph - 593-622 The Menagerie of Organizational Forms in German Company Law
by Fleischer Holger - 623-659 Soft Regulatory Capture and Supervisory Independence: A Case-Study on Wirecard
by Buttigieg Christopher P & Witzel Lothar Gustav & Zimmermann Beatriz Brunelli - 660-691 The Crisis Management of Smaller Banks: Perspectives of Reform
by Mecatti Irene - 692-716 Insider Dealing by Outsiders in the U. S. and EU
by Poelzig Dörte & Dittrich Paul - 717-744 Climate Change Stress Testing for the Banking System
by Rogge Ebbe - 745-758 Say on What’s Next?
by van Olffen M. & Breukink E.J.
November 2023, Volume 20, Issue 3
- 409-437 Article 29a – Towards a new Strategic Dimension in Supervisory Convergence?
by Skovmand Rasmussen Niels & Dietz Legind Nina - 438-446 CSRD Sustainability Reporting For Non-listed SMEs: European Regulators Remain Challenged
by Allgeier Sina & Feldmann Robert - 447-480 Moving Past Reliance – The Problem of a Reliance Requirement in Secondary Market Securities Litigation and Solutions from Select Jurisdictions
by Yli-Kankahila Heidi M. K. - 481-518 Online Formation of Companies – Serbian Experience and Way Forward
by Jevremović Petrović Tatjana - 519-546 Unauthorized Agent and Company in Formation in French Law
by Troncoso Mauricio - 547-590 Intercreditor Agreement and Contractual Restructuring of LBOs
by Lehtimäki Mika J.
April 2023, Volume 20, Issue 2
- 243-275 The Regulation on Markets in Crypto-Assets (MiCAR): Landmark Codification, or First Step of Many, or Both?
by Maume Philipp - 276-313 Shareholder Proposals and Sustainability: An Empirically-Based Critical Reflection
by Bakker Michael H.C. - 314-335 The Mandatory and Default Regulation in Hungarian Company Law – A Decade of Experience
by Auer Ádám & Papp Tekla - 336-357 Decent Work in the Cross-Border Supply Chain: A Smart Mix of Legislation and Self-Regulation
by Laagland Femke G. - 358-384 Negative Implications of Greater Access to the Courts in the Takeover Process
by Mukwiri Jonathan - 385-408 Short Selling, COVID-19 and the Regulators – Lessons Learned
by Sieder Sebastian
February 2023, Volume 20, Issue 1
- 1-26 The Belgian Private Limited Without Capital: How is it Faring?
by Culot Henri - 27-57 Loyalty Voting Rights in Belgium: Nothing More than a Control-Enhancing Mechanism?
by Declercq Steven & Delvoie Jeroen & Monnens Theo & Vos Tom - 58-60 Symposium Discussion Report: The Private Limited Without Capital and Loyalty Shares in Belgium
by Schiepers Ellen - 61-84 Classes of Shares in the Belgian Private and Public Limited Liability Company: A Search for a Reasonable Balance Between Collective and Invidiual Interests
by Wyckaert Marieke - 85-108 Social Entrepreneurship: The Choice Between Labels, Variants, Dedicated and Conventional Corporate Forms
by Cools Sofie - 109-161 An Introduction to and Evaluation of the 2019 Belgian Companies Act – Preparing for the Previous War?
by De Wulf Hans - 162-165 Symposium Discussion Report: Classes of Shares, Social Entrepreneurship and Overall Belgian Company Law Reform
by Schiepers Ellen - 166-198 Improving the Gender Balance Among Directors of Listed Companies in the EU
by Birkmose Hanne S. - 199-202 16th ECFR-Symposium Discussion Report: EU Listing Act and Gender Quota in the Board
by Knaier Ralf - 203-239 Towards a Framework for Effective Regulatory Supervision of Sustainability Governance in Accordance with the EU CSDD Directive. A Comparative Study
by de Kluiver Harm-Jan - 240-242 16th ECFR-Symposium Discussion Report: Panel on Supply Chain Due Diligence
by Knaier Ralf
December 2022, Volume 19, Issue 6
- 895-899 Introduction
by Wojcik Karl-Philipp - 900-916 Inter-agency Cooperation Within the SRM: Legal and Operational Challenges for the Cooperation Between Banking Supervision and Resolution Authorities in the EU and With Third-country Authorities
by Binder Jens-Hinrich - 917-923 The Legal and Practical Challenges Which Arise in Recognition of Third-Country Resolution Action: A Case Study in Cooperation Between Banking Supervision and Resolution Authorities
by Kelly Tess & Daved Shalina - 924-935 Panel I of the SRB Legal Conference – Legal and Operational Challenges That Arise in Respect of the Cooperation Between Banking Supervision and Resolution Authorities in the EU and in Respect of Their Cooperation with Third-Country Authorities
by Paggi Eleonora & Martinez Cristiano - 936-949 The Financial Appeal Bodies of the European Union: Nature and Future of the Appeal Panel of the Single Resolution Board
by Lastra Rosa M. & Bodellini Marco - 950-970 Some Reflections on the Standard of Review in the Experience of the ESAs Joint Board of Appeal and of the SRB Appeal Panel
by Lamandini Marco & Ramos Muñoz David - 971-977 Legal Conference – Panel II – Role, Scope of Review and Significance of Internal Administrative Review Bodies in the Banking Union and in the European System of Financial Supervision
by Lapresta Bienz Ana Raquel & Rius Riu Joan - 978-991 The ‘judicial’ control of discretionary measures in banking and financial fields: the role of EU Courts (and Boards of Appeal)
by Condinanzi Massimo - 992-1009 Administrative Discretion in U. S. Banking Regulation
by Tarullo Daniel K. - 1010-1016 Panel III of the SRB Legal Conference – The Exercise of Administrative Discretion by Banking Authorities and the Need to Ensure Accountability; Perspectives From the EU and US
by Verhulst Gilles
October 2022, Volume 19, Issue 5
- 685-700 Virtual Corporate Seat: A Case for Reform?
by Mikalonienė Lina - 701-748 Harmonising Shareholder Protection Laws for Related Party Transactions: – Art. 9 c of the Shareholder Rights Directive as the Nucleus of European Group Law –
by Florstedt Tim - 749-781 The Subordination of Shareholder and Intragroup Loans in Italy. Shifting Perspective in the Wake of the Covid-19 Emergency Legislation
by Borselli Angelo - 782-827 Sustainability‐Related Disclosures in Financial Services and Dialogue Policies in Listed Companies
by Della Tommasina Luca - 828-853 Regulating Innovation through Digital Platforms: The Sandbox Tool
by Miglionico Andrea - 854-894 Regulating Digital Platforms: the European Experience with Financial Return Crowdfunding
by Valiante Diego
August 2022, Volume 19, Issue 4
- 517-555 A More Socio-Environmentally Responsive Way to Organise 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 - 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 Commissions (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