The major financial scandals of the past decade, which have been
discussed exhaustively in corporate offices by corporate attorneys, and
in accounting firms, have led to the passage of massive Congressional
enactments in the United States that impact the world of finance. The
enactment of the Sarbanes-Oxley Act in 2002, with its significant
provisions of 20-year imprisonment for certain offenses, and the
conviction of Enron's CEO and other senior executives, finally caught
the attention of corporate executives. Laws and Regulations in Global
Financial Markets presents students, researchers, and practitioners with
an in-depth global analysis of the legal and regulative aspects of
corporate financial markets. Readers are introduced to international
developments concerning rules and regulations impacting investment
advisers and broker-dealers, bankruptcy law, important legal changes
influencing banks and credit ratings organizations, real estate
regulations, and insurance law. The book concludes with a discussion of
personal finance, financial literacy, and federal statutes centered
around the subject matter.