Content
September 2018, Volume 15, Issue 2
- 339-402 The Evolution of the Liability of Credit Rating Agencies in the United States and in the European Union: Regulation after the Crisis
by Picciau Chiara - 403-444 Harmonization of European Insolvency Law: Preventing Insolvency Law from Turning against Creditors by Upholding the Debt–Equity Divide
by de Weijs R.J.
June 2018, Volume 15, Issue 1
- 1-40 Non-frustration Rule and Mandatory Bid Rule – Cornerstones of European Takeover Law?
by Habersack Mathias - 41-68 The Spanish and the European Codification of the Business Judgment Rule
by Hernando Cebriá Luis - 69-100 An Analysis of the Prospectus Regime: The EU Reforms and the ‘Brexit’ Factor
by Howell Elizabeth - 101-122 Small Partnership Company Form as a Vehicle for Small and Medium-sized Businesses in Lithuania: Is the Theoretical Model Effective in Practice?
by Mikaloniene Lina - 123-147 Legal Protection against Decisions of the Single Resolution Board pursuant to Article 85 Single Resolution Mechanism Regulation
by Skauradszun Dominik - 148-196 ‘Baby, it’s cold outside ...’ – A Comparative and Economic Analysis of Freeze-outs of Minority Shareholders
by Vos Tom
December 2017, Volume 14, Issue 4
- 569-608 Educating Bankers on Law, Ethics and Social Values: A Perspective from the US, the UK and Europe
by Arsalidou Demetra - 609-636 Corporate Directors:In Search of a European Normative Model for Legal Persons as Board Members
by Talens Paula del Val - 637-661 Europeanisation of Financial Markets Regulation in Times of Brexit
by Kämmerer Jörn Axel - 662-722 Financial-return Crowdfunding and Regulatory Approaches in the Shadow Banking, FinTech and Collaborative Finance Era
by Macchiavello Eugenia - 723-774 Corporate Indemnification: Experiences in USA and Developments in Germany, Italy and Portugal
by Ramos Maria Elisabete Gomes
October 2017, Volume 14, Issue 3
- 399-433 Corporate accountability: non-financial disclosure and liability – A French perspective
by Barsan Iris - 435-457 Improving the Quality of the Comply or Explain Approach and Introducing Self-Monitoring Through Online Feedbacks
by Mangano Renato - 458-489 Manipulation in Illiquid Markets – A Tale of Inefficiency?
by Tountopoulos Vassilios D. - 490-567 (BR)EXIT from the EU: A Legal Perspective
by Told Julia
August 2017, Volume 14, Issue 2
- 236-238 Opening Remarks
by Hirte Heribert - 239-241 Opening Remarks
by Pind Søren - 242-251 Capital Markets Union – One Year On From the Action Plan
by Parmentier Miriam - 252-268 The Effects of Brexit on the Law of Companies and Financial and Legal Services in Europe: A Summary Overview
by Hellwig Hans-Jürgen - 268-270 Symposium Discussion Report: First Session The State of the (Capital) Union
by Kambjerre Andreas Sams - 271-313 Market Building and the Capital Markets Union: Addressing Information Barriers in the SME Funding Market
by Schammo Pierre - 314-315 Symposium Discussion Report: Second Session Improving Access to Finance
by Kambjerre Andreas Sams - 316-335 The Cost of Capital – the Normative Foundation of Corporate Law: A Reply
by Paterson Sarah - 336-364 Market-based financing in the Capital Markets Union: The European Commission’s Proposals to Foster Financial Innovation in the EU
by Kumpan Christoph - 364-366 Symposium Discussion Report: Third Session Developing and Diversifying the Supply of Funding
by Kambjerre Andreas Sams - 367-390 Market Abuse Case Law –Where Do We Stand With MAR?
by Hansen Jesper Lau - 391-395 Symposium Discussion Report: Fourth Session Improving Market Effectiveness: Intermediaries, Infrastructures, and the Broader Legal Framework
by Bergþórsson Andri Fannar - 396-397 Symposium Discussion Report: Fifth Session SUP, SPE and Beyond (the EMCA Project)
by Bergþórsson Andri Fannar
March 2017, Volume 14, Issue 1
- 1-36 Regulating Proxy Advisors Through Transparency: Pros and Cons of the EU Approach
by Balp Gaia - 37-72 Fiat Chrysler Automobiles and the New Face of the Corporate Mobility in Europe
by Pernazza Federico - 73-93 Corporate Directors’ Liability in Polish Law
by Jastrzębski Jacek - 94-120 Conditions and Obligations in ECB Supervisory Decisions as Ancillary Provisions under SSM Law
by Lo Schiavo Gianni - 121-148 Crowdfunding and the Small Offering Exemption in European and US Prospectus Regulation: Striking a Balance Between Investor Protection and Access to Capital?
by Härkönen Elif - 149-186 The Conundrum of Hedge Fund Definition
by Nabilou Hossein - 187-233 Almost Capital-less Companies in Europe: Trends, Variations, Competition
by Bartolacelli Alessio
December 2016, Volume 13, Issue 4
- 549-574 The New Law of Piercing the Corporate Veil in the UK
by Schall Alexander - 575-598 Cross‐border coordination of bank resolution in the EU: All problems resolved?
by Binder Jens-Hinrich - 599-630 Turning Up the Heat? EU Sustainability Goals and the Role of Reporting under the Non-Financial Reporting Directive
by Ahern Deirdre - 631-664 The Regulation of Outsider Trading in EU and the US
by Gilotta Sergio - 665-707 The New Italian Almost Capital-less Private Companies: A Brand New Tile in the Mosaic
by Bartolacelli Alessio
October 2016, Volume 13, Issue 3
- 467-494 The European Central Bank and Banking Supervision: The Regulatory Limits of the Single Supervisory Mechanism
by Alexander Kern - 495-516 The Optimal Scope of Disclosure by Association Regime under MAR
by Knuts Mårten - 517-545 A Hat That Fits on Different Heads? The Proposed Regulation on Money Market Funds and the System of EU Investment Law
by Rehahn Johannes
July 2016, Volume 13, Issue 2
- 198-199 Welcome Address to the 10th ECFR Symposium
by Hirte Heribert - 200-214 The EMCA: General Principles and Main Content
by Perakis Evanghelos - 215-253 Shares in the EMCA:
by Wulf Hans De - 254-268 Chapter 12 “Annual Accounting and Auditing” of EMCA: A Critical Review
by Hommelhoff Peter - 269-276 Director’s’ Duties and Conflicts of Interest in the EMCA
by Antunes José Engrácia & Naharro Mónica Fuentes - 277-300 Corporate Restructuring under the EMCA
by Teichmann Christoph - 301-321 The Chapter on Groups of Companies of the European Model Company Act (EMCA)
by Conac Pierre-Henri - 322-350 Bankruptcy and Liquidation: Current Legal Situation in European and International Context, Solutions under the European Model Company Act (EMCA)
by Patakyová Mária & Gramblicková Barbora - 351-362 A Model Company Act and A Model Company Court
by Gilson Ronald J. - 363-369 A U.S. View of the European Model Company Act
by Klausner Michael - 370-372 Discussions Report: Reorganization of Companies
by Schmidt Lena - 373-374 Discussion Report: Formation of Companies
by Fröhlich Andrea - 376-423 Institutional Governance and Capital Markets Union: Incrementalism or a “Big Bang”?
by Moloney Niamh - 424-452 Regulation and Taxation of the Financial Markets
by Schön Wolfgang - 453-466 Georgian Supreme Court Redefines Personal Liability of Shareholders and Directors
by Narmania Giorgi
March 2016, Volume 13, Issue 1
- 1-30 Private International Law Rules in the Insolvency Regulation Recast: A Reform or a Restatement of the Status Quo?
by Mucciarelli Federico M. - 31-54 The Principle of Mutual Recognition in the European Internal Market With Special Regard to the Cross-Border Mobility of Companies
by Behme Caspar - 55-72 Purposes and Tools of the Market for Corporate Control
by Benocci Alessandro - 73-105 Related-Party Transactions and the Intricacies of Ex Post Judicial Review: The Parmalat/Lactalis Case
by Pomelli Alessandro - 106-156 Proxy Advisors in the Voting Process: Some Considerations for Future Regulation in Europe
by Córcoles Ascensión Gallego - 157-196 Shadow Banking: The Blind Spot in Banking and Capital Markets Reform
by Muñoz David Ramos
December 2015, Volume 12, Issue 4
- 489-539 The Reform of Deposit Guarantee Schemes in Europe
by Payne Jennifer - 563-571 The Importance of Profit in Company Law – a Comment from a Swedish Perspective
by Skog Rolf
November 2015, Volume 12, Issue 4
- 489-538 A Political Narrative of Nordic Corporate Governance: Shareholders, Stakeholders and Change of Control
by Ilmonen Klaus R.
October 2015, Volume 12, Issue 3
- 307-340 New EU Directive on the Disclosure of Non-Financial Information (CSR)
by Szabó Dániel Gergely & Sørensen Karsten Engsig - 341-371 Corporate Governance of Groups in an Era of Regulatory Nationalism: A Focused Analysis of Financial Services Regulation
by Hausmann Yannick & Bechtold Elisabeth - 372-424 Deposit Guarantee Schemes in Europe: Is the Banking Union in Need of a Third Pillar?
by Colaert Veerle - 425-461 ‘Bonus Bonds’ for Bankers: A New Type of Debt-Based Remuneration in the Financial Industry
by Seiler Moritz & Fischer Damian - 462-487 Recognition of US Class Actions or Settlements in Europe
by Arons Tomas
August 2015, Volume 12, Issue 2
- 112-114 Ten Years European Company and Financial Law Review (ECFR)
by Hirte Heribert - 115-119 The European Banking Union
by Meister Michael - 120-124 Discussion Report: The European Banking Union
by Cöster Timo - 125-138 Discussion Report: The Proposal for a Directive on the Single-Member Private Limited Liability Company
by Kravets Audrey - 139-176 The Societas Unius Personae (SUP): A “Passport” for Job Creation and Growth
by Conac Pierre-Henri - 177-190 The SUP Proposal: Registration and Capital (Articles 13–17)
by Hansen Jesper Lau - 191-201 Directive on Single-Member Private Limited Liability Companies: Distributions
by Knapp Vanessa - 202-229 Corporate Groups within the Legal Framework of the European Union: The Group-Related Aspects of the SUP Proposal and the EU Freedom of Establishment
by Teichmann Christoph - 230-237 From SPE to SMC: The German Political Debate on the Reform of the “Small Company”
by Harbarth Stephan - 238-279 The relationship between the Societas Unius Personae proposal and the acquis: Creeping Toward an Abrogation of EU Company Law?
by Malberti Corrado - 280-298 The Forthcoming ECJ Decision of the Kornhaas Case (C-594/14) – The Final Chapter of the European Traveller’s Tales?
by Schall Alexander
April 2015, Volume 12, Issue 1
- 1-18 Privatized Companies, Golden Shares and Property Ownership in the Euro Crisis Era:: A Discussion After Commission v. Greece
by Papadopoulos Thomas - 19-44 Czech Corporate Law on its Way
by Havel Bohumil - 45-78 Suitability of Bank Directors in Europe: Just a Matter of Being ʻFit & Properʼ
by Finesi Stefano - 79-109 Cumulative Voting: In the US (Declining), in China (Rising) and the EU (Not-Adopted)
by Wenjia Yan
2015, Volume 11, Issue 4
- 479-494 The “COMI” Concept in the Revision of the European Insolvency Regulation
by Latella Dario - 495-530 Comi-migration: Use or Abuse of European Insolvency Law?
by de Weijs R.J. & Breeman M.S. - 531-553 The Wonderful World of Privileges: - The Par Condicio Creditorum vs. Closeout-Netting
by Paulus Christoph G. - 554-593 Comparing Insider Trading in the United States and in the European Union: History and Recent Developments
by Ventoruzzo Marco - 594-632 Acting in Concert in EU Company Law: How Safe Harbours can Reduce Interference with the Exercise of Shareholder Rights:
by Ghetti Riccardo
October 2014, Volume 11, Issue 3
- 297-332 Market Abuse and Private Enforcement
by D. Tountopoulos Vassilios - 333-363 Regulation and Liability of Credit Rating Agencies – A More Efficient European Law?
by Möllers Thomas M.J. & Niedorf Charis - 364-392 Active Shareholders and European Takeover Regulation
by Winner Martin - 393-404 No Rule, Just Exemptions?: Mandatory Bids in Sweden and the EU
by Skog Rolf & Sjöman Erik - 405-453 Learning from Russia? – How a Coherent Systematic Approach and Strict Focus on Investor Protection Could Improve a European Framework on Mandatory Disclosure
by Werner Kai - 454-477 The European Court of Justice: Selling Us Short?
by Howell Elizabeth
June 2014, Volume 11, Issue 2
- 135-158 How to Fund Assetless Estates in Insolvency? Assessing European Funding Mechanisms:
by van Dijck Gijs - 160-195 Six Components of Corporate Governance That Cannot Be Ignored:
by McCahery Joseph A. & Vermeulen Erik P.M. - 196-199 Symposium Discussion Report: Insolvency of Corporate Groups:
by Warchol Joanna - 200-213 Enterprise Groups and their Insolvency: It’s the (Common) Interest, Stupid!:
by Van Hoe Arie - 214-257 European Challenges for Institutional Investor Engagement – Is Mandatory Disclosure the Way Forward:
by Birkmose Hanne Søndergaard - 258-296 The Dividing Line Between Shareholder Democracy and Board Autonomy: Inherent Conflicts of Interest as Normative Criterion:
by Cools Sofie
March 2014, Volume 11, Issue 1
- 1-14 The Swedish Securities Council: A Takeover Panel, and More:
by Skog Rolf & Sjöman Erik - 15-30 Comparative Corporate Governance of Non-Profit Organizations:
by Thomsen Steen - 31-52 Cooperatives As Governance Mechanisms:
by Lehmann Matthias - 53-96 Branches of Companies in the EU: Balancing the Eleventh Company Law Directive, National Company Law and the Right of Establishment:
by Engsig Sørensen Karsten - 97-133 An Orderly Liquidation Authority within a Disorderly Supervisory Framework: Looking into the Dodd-Frank Act from Europe:
by Giani Leonardo & Crivellaro Jacopo
December 2013, Volume 10, Issue 4
- 507-522 Exit Taxation on Capital Gains in the European Union: A Necessary Consequence of Corporate Relocations?:
by Peeters Steven - 523-553 Forum Shopping in Times of Crisis: A Directors’ Duties Perspective:
by Mevorach Irit - 554-592 Cooperation between Liquidators and Courts in Insolvency Proceedings of Related Companies under the Proposed Revised EIR:
by Reumers Michele
September 2013, Volume 10, Issue 3
- 271-303 The Risky Business of Regulating Risk Management in Listed Companies:
by Enriques Luca & Zetzsche Dirk - 304-327
by former the - 328-393 Governing Corporations with Concentrated Ownership Structure: An Empirical Analysis of Hedge Fund Activism in Italy and Germany, and Its Evolution:
by Erede Matteo - 394-431 EU Corporate Governance: A New Supervisory Mechanism for the ʻComply or Explainʼ Principle?:
by Sergakis Konstantinos - 432-460 Takeovers and Incidental Protection of Minority Shareholders:
by Mukwiri Jonathan - 461-505 Friends with Benefits?! : A Comparative View on Legal Standing to Challenge Board Decisions
by De Dier Stijn
June 2013, Volume 10, Issue 2
- 113-116 7th ECFR Symposium – Luxembourg – 28 September 2012 Opening Remarks:
by Gramegna Pierre - 117-163 The Present and Future of Corporate Governance: Re-Examining the Role of the Board of Directors and Investor Relations in Listed Companies:
by McCahery Joseph A. & Vermeulen Erik P.M. & Hisatake Masato - 164-166 Symposium Discussion Report: Duties and Liabilities of Board Members in Listed Companies:
by Cools Sofie - 167-193 Conflict of Interest, Secrecy and Insider Information of Directors, A Comparative Analysis:
by Hopt Klaus J. - 194-226 Director’s Duties in Groups of Companies – Legalizing the Interest of the Group at the European Level:
by Conac Pierre-Henri - 227-229 Symposium Discussion Report: Related Party Transactions:
by Cools Sofie - 230-267 Corporate Mobility in the European Union – a Flash in the Pan? An empirical study on the success of lawmaking and regulatory competition:
by Ringe Wolf-Georg - 268-270 Symposium Discussion Report: The Transfer of Seat:
by Cools Sofie
March 2013, Volume 10, Issue 1
- 1-17 The Vale Decision and the Court’s Case Law on the Nationality of Companies:
by Hansen Jesper Lau - 18-44 The Reform of the Transparency Regime in European Capital Markets Laws:
by Veil Rüdiger - 45-74 The “company’s interests” of the “società aperte” under Italian Corporate Laws:
by Cossu Monica - 75-112 Hybrid Legal Forms at the Gates: The Transition from Combined Legal Forms to Hybrid Corporations and its Consequences for Creditor Protection:
by Schaper Martin
November 2012, Volume 9, Issue 4
- 421-445 Directors’ Versus Shareholders’ Primacy in U.S. Corporations Through the Eyes of History: Is Directors’ Power “Inherent”?:
by Bruno Sabrina - 446-483 Empty Voting: A European Perspective:
by Clottens Carl - 484-529 Perspectives on Group Corporate Governance and European Company Law:
by Di Noia Carmine & Gargantini Matteo - 530-570 Rendering (Once More) the Financial Assistance Regime More Flexible:
by Strampelli Giovanni - 571-579 The Hidden Voyage of a Dying Italian Company, from the Mediterranean Sea to Albion: – A Comment to the ECJ Decision “Interedil” on Cross-Border Transfer of Registered Office before the Filing for Insolvency –
by Mucciarelli Federico M.
August 2012, Volume 9, Issue 3
- 261-274 Perspectives on Group Corporate Governance and European Company Law:
by Chiappetta Francesco & Tombari Umberto - 275-306 Reforming the Regulation of Trading Venues in the EU under the Proposed MiFID II – Levelling the Playing Field and Overcoming Market Fragmentation?:
by Clausen Nis Jul & Sørensen Karsten Engsig - 307-341 Credit Default Swaps and the EU Short Selling Regulation: A Critical Analysis:
by Juurikkala Oskari - 342-379 Shareholders and Corporate Scrutiny: The Role of the UK Stewardship Code:
by Arsalidou Demetra - 380-419 Expulsion and Valuation Clauses – Freedom of Contract vs. Legal Paternalism in German Partnership and Close Corporation Law:
by Schmolke Klaus Ulrich
July 2012, Volume 9, Issue 2
- 112-130 Back to the Future?: Central Banks as Prudential Supervisors in the Aftermath of the Crisis
by Masciandaro Donato - 131-155 Some Challenges Facing European Central Banks as Supervising Authority
by Vletter-van Dort Hélène M. - 156-178 The ECB’s Controversial Securities Market Programme (SMP) and its role in relation to the modified EFSF and the future ESM
by Sester Peter - 179-193 The International Financial Cooperation – Recent Reforms
by Hüpkes Eva - 194-220 State Aids, Central Banks and the Financial Crisis
by Psaroudakis Georgios - 221-260 Infringements of Fundamental Freedoms within the EU Market for Corporate Control
by Papadopoulos Thomas
April 2012, Volume 9, Issue 1
- 1-34 New Regulation of Remuneration in the Financial Sector in the EU
by Ferran Eilís - 35-50 Shoot-Out Clauses in Partnerships and Close Corporations
by Fleischer Holger & Schneider Stephan - 51-73 Incorporation of IFRS in the United States: An Analysis of the SEC's Options and the Implications for the EU
by Pöschke Moritz - 74-100 Trustee or Delegate? Understanding Representation to Illuminate Shareholder Governance and Regulatory Change
by Verstein Andrew - 101-110 The Compatibility of Corporate Exit Taxation with European Law
by Biermeyer Thomas & Elsener Fabio & Timba Fiona
January 2011, Volume 8, Issue 4
- 423-444 Resolving Unresolved Relationship Problems the Case of Cross Border Insolvency and Pending Arbitrations
by Chuah Jason - 445-475 An Analysis of Enlightened Shareholder Value in Light of Ex Post Opportunism and Incomplete Law
by Keay Andrew & Zhang Hao - 476-488 Corporate Governance after the Death of the King the Origins of the Separation of Powers in Companies
by Schall Alexander
January 2011, Volume 8, Issue 3
- 277-304 Aggressive Tax Strategies and Corporate Tax Governance: an Institutional Approach
by Garbarino Carlo - 305-333 The Effectiveness of Being Invisible: Hedge Funds, Hidden Ownership and Corporate Governance
by Chattopadhyaya Soumyadri - 334-351 Shareholder's Derivative Action in Japan
by Oda Hiroshi - 352-375 Liability for Misrepresentation – European Lessons on Causation from the Netherlands
by de Jong Bas J. - 376-421 The Say-on-Pay Movement – Evidence From a Comparative Perspective
by Lieder Jan & Fischer Philipp
January 2011, Volume 8, Issue 2
- 101-104 5th ECFR Symposium – Brussels Opening remarks
by De Cordt Yves - 105-144 Empowering Shareholders in Dirctors' Elections: A Revolution in the Making
by Ventoruzzo Marco - 145-173 Minority shareholder protection in takeovers: A UK perspective
by Payne Jennifer - 174-198 The Balance of Power in Polish Company Code Regulations: An Eastern European perspective on Corporate Governance
by Warchol Joanna - 199-234 Europe's Ius Commune on Director Revocability
by Cools Sofie - 235-258 Transaction Avoidance in Bankruptcy of Corporate Groups
by Mevorach Irit - 259-275 Regulating Financial Markets in Times of Stress is a Fundamentally Human Undertaking
by Zufferey Jean-Baptiste
January 2011, Volume 8, Issue 1
- 1-29 The IAS/IFRS after the crisis: limiting the impact of fair value accounting on companies' capital
by Strampelli Giovanni - 30-46 Law Applicable to the European Cooperative Society: special reference to the european cooperative established in Spain
by Ibáñez Irene Escuin - 47-64 The comparative, law and economics analysis of company law. Reflections on the second edition of The Anatomy of Corporate Law. A Comparative and Functional Approach
by Lombardo Stefano - 65-69 Caritas in Veritate, Market and Firms. The Catholic Church's Position on Economy. An Interview by Renato Mangano
by Zamagni Stefano - 69-76 Periscopus and Clear Criteria in European Public Takeover Legislation
by Krause Hartmut - 77-99 The Aftermath of Morrison v. National Australia Bank and Elliott Associates v. Porsche
by Kaal Wulf A. & Painter Richard W.
January 2010, Volume 7, Issue 4
- 479-511 Consequences of Uncertainty for Regulation: Law and Economics of the Financial Crisis
by Pacces Alessio M. - 512-549 Towards a transnational bank restructuring law? – The attempt of the G20 to initiate and monitor regulatory responses to the „too big to fail“ problem –
by Sester Peter - 550-584 The Mandatory Bid and Company Law in Europe
by Psaroudakis Georgios
January 2010, Volume 7, Issue 3
- 369-413 Shareholder Primacy in Corporate Law: Can it Survive? Should it Survive?
by Keay Andrew - 414-443 The right of companies to cross-border conversion under the TFEU Rules on Freedom of Establishment
by Szydło Marek - 444-478 A Third Way: Regional Restructuring and the Societas Europaea
by Kirshner Jodie A.
January 2010, Volume 7, Issue 2
- 169-170 Welcome address by the President of the Supreme Court at the Fourth European Company and Financial Law Review Symposium on ‘The Financial Crisis and the European Private Company’, The Hague, 2 October 2009
by Timmermann Vino - 171-215 Empowering the ECB to Supervise Banks: A Choice-Based Approach
by Hertig Gerard & Lee Ruben & McCahery Joseph A. - 216-239 Rivalry in Resolution. How to reconcile local responsibilities and global interests?
by Hüpkes Eva - 240-265 The reforms of the European Financial Supervisory System – An Overview
by Wymeersch Eddy - 266-272 International Co-operation between Financial Supervisory Authorities
by Schmitz-Lippert Thomas - 273-296 Reforming Executive Compensation: Simplicity, Transparency and Committing to the Long-term
by Bhagat Sanjai & Romano Roberta - 297-339 Mastering the financial crisis – The French approach Discussion Report
by Conac Pierre-Henri - 340-341 Discussion Report on Financial Crises
by Mock Sebastian - 342-346 Spector Photo Group and its wider implications. Keynote Address at the UCL Laws conference on Corporate Finance Law: UK and EU perspectives, 28 April 2010
by Arden Justice - 347-366 The European Insider Trading Regulation after Spector Photo Group
by Klöhn Lars
January 2010, Volume 7, Issue 1
- 1-62 The Use and Abuse of Investor Suits – An Inquiry into the Dark Side of Shareholder Activism –
by Vermeulen Erik P. M. & Zetzsche Dirk A. - 63-80 The Appraisal Regime of Contributions in Kind in the Light of Amendments to the Second EEC Directive
by Notari Mario - 81-115 Derivative Actions under English and German Corporate Law – Shareholder Participation between the Tension Filled Areas of Corporate Governance and Malicious Shareholder Interference
by Paul Carsten A. - 116-157 The Transition from Corporate Governance to Bankruptcy Governance – Convergence of German and US law?
by Schillig Michael - 158-167 Equal treatment of shareholders and European Union law Case note on the Decision “Audiolux” of the European Court of Justice
by Mucciarelli Federico M.
January 2009, Volume 6, Issue 4
- 373-390 The Universal Succession as a Technique of Corporate Restructuring: Efficiency and Limits
by Couret Alain - 391-439 Balancing the Interests of Minority and Majority Shareholders: A Comparative Analysis of Squeeze-out and Sell-out Rights
by van der Elst Christoph & van den Steen Lientje - 440-475 The Global Financial Crisis and the Disclosure Paradigm in European Financial Regulation: The Case for Reform
by Avgouleas Emilios