A Practical guide to corporate governance / Richard Smerdon |
Autore | Smerdon, Richard |
Pubbl/distr/stampa | London : Sweet & Maxwell, c1998 |
Descrizione fisica | XXV, 330 p. ; 24 cm |
Disciplina | 346.0664 |
ISBN | 0-421-61880-9 |
Formato | Materiale a stampa |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Record Nr. | UNINA-990007098780403321 |
Smerdon, Richard | ||
London : Sweet & Maxwell, c1998 | ||
Materiale a stampa | ||
Lo trovi qui: Univ. Federico II | ||
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Abweichungen vom Deutschen Corporate Governance Kodex und von §161 AktG als Pflichtverletzung im Sinne der Untreue / / Amir Michaelsen |
Autore | Michaelsen Amir |
Pubbl/distr/stampa | Göttingen : , : Universitätsverlag Göttingen, , [2011] |
Descrizione fisica | 1 online resource (393 pages) |
Disciplina | 346.0664 |
Collana | Göttinger Studien zu den Kriminalwissenschaften |
Soggetto topico | Corporate governance - Law and legislation |
Formato | Materiale a stampa |
Livello bibliografico | Monografia |
Lingua di pubblicazione | ger |
Record Nr. | UNINA-9910725044203321 |
Michaelsen Amir | ||
Göttingen : , : Universitätsverlag Göttingen, , [2011] | ||
Materiale a stampa | ||
Lo trovi qui: Univ. Federico II | ||
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Abweichungen vom Deutschen Corporate Governance Kodex und von §161 AktG als Pflichtverletzung im Sinne der Untreue / / Amir Michaelsen |
Autore | Michaelsen Amir |
Pubbl/distr/stampa | Göttingen : , : Universitätsverlag Göttingen, , [2011] |
Descrizione fisica | 1 online resource (393 pages) |
Disciplina | 346.0664 |
Collana | Göttinger Studien zu den Kriminalwissenschaften |
Soggetto topico | Corporate governance - Law and legislation |
Formato | Materiale a stampa |
Livello bibliografico | Monografia |
Lingua di pubblicazione | ger |
Record Nr. | UNISA-996532959503316 |
Michaelsen Amir | ||
Göttingen : , : Universitätsverlag Göttingen, , [2011] | ||
Materiale a stampa | ||
Lo trovi qui: Univ. di Salerno | ||
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After Enron : improving corporate law and modernising securities regulation in Europe and the US / edited by John Armour and Joseph A. McCahery |
Edizione | [1st ed.] |
Pubbl/distr/stampa | Oxford [U.K.] ; Portland, Ore., : Hart Publishing, 2006 |
Descrizione fisica | 1 online resource (728 p.) |
Disciplina | 346.0664 |
Soggetto topico |
Corporate governance - Law and legislation - United States
Securities - United States Corporate governance - Law and legislation - European Union countries Securities - European Union countries Law reform - United States Law reform - European Union countries |
Soggetto genere / forma | Electronic books. |
ISBN |
1-4725-5998-3
1-280-82934-6 9786610829347 1-84731-290-X |
Formato | Materiale a stampa |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | Introduction -- After Enron: Improving Corporate Law and Modernising Securities Regulation in Europe and the US JOHN ARMOUR and JOSEPH A McCAHERY -- Part I: Stock Markets and Information -- 1 The Mechanisms Of Market Efficiency Twenty Years Later: The Hindsight Bias RONALD J GILSON and REINIER KRAAKMAN -- 2 Taming the Animal Spirits of the Stock Markets: A Behavioural Approach to Securities Regulation DONALD C LANGEVOORT -- Part II: Corporate Scandals in Historical and Comparative Context -- 3 Icarus and American Corporate Regulation DAVID A SKEEL, JR -- 4 Corporate Governance after Enron: An Age of Enlightenment SIMON DEAKIN and SUZANNE J KONZELMANN -- 5 Financial Scandals and the Role of Private Enforcement: The Parmalat Case GUIDO FERRARINI and PAOLO GIUDICI -- 6 A Theory of Corporate Scandals: Why the US and Europe Differ JOHN C COFFEE, JR -- Part III: Evaluating Regulatory Responses: The US and UK -- 7 The Case for Shareholder Access to the Ballot LUCIAN ARYE BEBCHUK -- 8 Rules, Principles, and the Accounting Crisis in the United States WILLIAM W BRATTON -- 9 The Oligopolistic Gatekeeper: The US Accounting Profession JAMES D COX -- 10 The Liability Risk for Outside Directors: A Cross-Border Analysis BERNARD BLACK, BRIAN CHEFFINS and MICHAEL KLAUSNER -- 11 The Legal Control of Directors' Conflicts of Interest in the United Kingdom: Non-Executive Directors Following the Higgs Report RICHARD C NOLAN -- Part IV: Reforming EU Company Law and Securities Regulation -- 12 Enron and Corporate Governance Reform in the UK and the European Community PAUL DAVIES -- 13 Modern Company and Capital Market Problems: Improving European Corporate Governance After Enron KLAUS J HOPT -- 14 Who Should Make Corporate Law? EC Legislation versus Regulatory Competition JOHN ARMOUR -- 15 Company and Takeover Law Reforms in Europe: Misguided Harmonization Efforts or Regulatory Competition? GÉRARD HERTIG and JOSEPH A McCAHERY -- 16 The Regulatory Process for Securities Law-Making in the EU EILÍS FERRAN -- 17 EC Company Law Directives and Regulations: How Trivial Are They? LUCA ENRIQUES |
Record Nr. | UNINA-9910451324103321 |
Oxford [U.K.] ; Portland, Ore., : Hart Publishing, 2006 | ||
Materiale a stampa | ||
Lo trovi qui: Univ. Federico II | ||
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After Enron : improving corporate law and modernising securities regulation in Europe and the US / edited by John Armour and Joseph A. McCahery |
Edizione | [1st ed.] |
Pubbl/distr/stampa | Oxford [U.K.] ; Portland, Ore., : Hart Publishing, 2006 |
Descrizione fisica | 1 online resource (728 p.) |
Disciplina | 346.0664 |
Soggetto topico |
Corporate governance - Law and legislation - United States
Securities - United States Corporate governance - Law and legislation - European Union countries Securities - European Union countries Law reform - United States Law reform - European Union countries |
ISBN |
1-4725-5998-3
1-280-82934-6 9786610829347 1-84731-290-X |
Formato | Materiale a stampa |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | Introduction -- After Enron: Improving Corporate Law and Modernising Securities Regulation in Europe and the US JOHN ARMOUR and JOSEPH A McCAHERY -- Part I: Stock Markets and Information -- 1 The Mechanisms Of Market Efficiency Twenty Years Later: The Hindsight Bias RONALD J GILSON and REINIER KRAAKMAN -- 2 Taming the Animal Spirits of the Stock Markets: A Behavioural Approach to Securities Regulation DONALD C LANGEVOORT -- Part II: Corporate Scandals in Historical and Comparative Context -- 3 Icarus and American Corporate Regulation DAVID A SKEEL, JR -- 4 Corporate Governance after Enron: An Age of Enlightenment SIMON DEAKIN and SUZANNE J KONZELMANN -- 5 Financial Scandals and the Role of Private Enforcement: The Parmalat Case GUIDO FERRARINI and PAOLO GIUDICI -- 6 A Theory of Corporate Scandals: Why the US and Europe Differ JOHN C COFFEE, JR -- Part III: Evaluating Regulatory Responses: The US and UK -- 7 The Case for Shareholder Access to the Ballot LUCIAN ARYE BEBCHUK -- 8 Rules, Principles, and the Accounting Crisis in the United States WILLIAM W BRATTON -- 9 The Oligopolistic Gatekeeper: The US Accounting Profession JAMES D COX -- 10 The Liability Risk for Outside Directors: A Cross-Border Analysis BERNARD BLACK, BRIAN CHEFFINS and MICHAEL KLAUSNER -- 11 The Legal Control of Directors' Conflicts of Interest in the United Kingdom: Non-Executive Directors Following the Higgs Report RICHARD C NOLAN -- Part IV: Reforming EU Company Law and Securities Regulation -- 12 Enron and Corporate Governance Reform in the UK and the European Community PAUL DAVIES -- 13 Modern Company and Capital Market Problems: Improving European Corporate Governance After Enron KLAUS J HOPT -- 14 Who Should Make Corporate Law? EC Legislation versus Regulatory Competition JOHN ARMOUR -- 15 Company and Takeover Law Reforms in Europe: Misguided Harmonization Efforts or Regulatory Competition? GÉRARD HERTIG and JOSEPH A McCAHERY -- 16 The Regulatory Process for Securities Law-Making in the EU EILÍS FERRAN -- 17 EC Company Law Directives and Regulations: How Trivial Are They? LUCA ENRIQUES |
Record Nr. | UNINA-9910784284103321 |
Oxford [U.K.] ; Portland, Ore., : Hart Publishing, 2006 | ||
Materiale a stampa | ||
Lo trovi qui: Univ. Federico II | ||
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After Enron : improving corporate law and modernising securities regulation in Europe and the US / / edited by John Armour and Joseph A. McCahery |
Edizione | [1st ed.] |
Pubbl/distr/stampa | Oxford [U.K.] ; Portland, Ore., : Hart Publishing, 2006 |
Descrizione fisica | 1 online resource (728 p.) |
Disciplina | 346.0664 |
Soggetto topico |
Corporate governance - Law and legislation - United States
Securities - United States Corporate governance - Law and legislation - European Union countries Securities - European Union countries Law reform - United States Law reform - European Union countries |
ISBN |
1-4725-5998-3
1-280-82934-6 9786610829347 1-84731-290-X |
Formato | Materiale a stampa |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto | Introduction -- After Enron: Improving Corporate Law and Modernising Securities Regulation in Europe and the US JOHN ARMOUR and JOSEPH A McCAHERY -- Part I: Stock Markets and Information -- 1 The Mechanisms Of Market Efficiency Twenty Years Later: The Hindsight Bias RONALD J GILSON and REINIER KRAAKMAN -- 2 Taming the Animal Spirits of the Stock Markets: A Behavioural Approach to Securities Regulation DONALD C LANGEVOORT -- Part II: Corporate Scandals in Historical and Comparative Context -- 3 Icarus and American Corporate Regulation DAVID A SKEEL, JR -- 4 Corporate Governance after Enron: An Age of Enlightenment SIMON DEAKIN and SUZANNE J KONZELMANN -- 5 Financial Scandals and the Role of Private Enforcement: The Parmalat Case GUIDO FERRARINI and PAOLO GIUDICI -- 6 A Theory of Corporate Scandals: Why the US and Europe Differ JOHN C COFFEE, JR -- Part III: Evaluating Regulatory Responses: The US and UK -- 7 The Case for Shareholder Access to the Ballot LUCIAN ARYE BEBCHUK -- 8 Rules, Principles, and the Accounting Crisis in the United States WILLIAM W BRATTON -- 9 The Oligopolistic Gatekeeper: The US Accounting Profession JAMES D COX -- 10 The Liability Risk for Outside Directors: A Cross-Border Analysis BERNARD BLACK, BRIAN CHEFFINS and MICHAEL KLAUSNER -- 11 The Legal Control of Directors' Conflicts of Interest in the United Kingdom: Non-Executive Directors Following the Higgs Report RICHARD C NOLAN -- Part IV: Reforming EU Company Law and Securities Regulation -- 12 Enron and Corporate Governance Reform in the UK and the European Community PAUL DAVIES -- 13 Modern Company and Capital Market Problems: Improving European Corporate Governance After Enron KLAUS J HOPT -- 14 Who Should Make Corporate Law? EC Legislation versus Regulatory Competition JOHN ARMOUR -- 15 Company and Takeover Law Reforms in Europe: Misguided Harmonization Efforts or Regulatory Competition? GÉRARD HERTIG and JOSEPH A McCAHERY -- 16 The Regulatory Process for Securities Law-Making in the EU EILÍS FERRAN -- 17 EC Company Law Directives and Regulations: How Trivial Are They? LUCA ENRIQUES |
Record Nr. | UNINA-9910826159203321 |
Oxford [U.K.] ; Portland, Ore., : Hart Publishing, 2006 | ||
Materiale a stampa | ||
Lo trovi qui: Univ. Federico II | ||
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Analisi comparativa dei criteri di recepimento della IV direttiva CEE in Italia, Francia e Spagna / Paolo Andrei, Anna Maria Fellegara |
Autore | Andrei, Paolo |
Pubbl/distr/stampa | Milano : A. Giuffrè, 1993 |
Descrizione fisica | VI, 147 p. ; 24 cm |
Disciplina | 346.0664 |
Altri autori (Persone) | Fellegara, Anna Mariaauthor |
Collana | Università degli studi di Parma, Istituto di ricerche aziendali Gino Zappa. Ser. Quaderni ; 4 |
Soggetto topico | Bilancio - Diritto comparato |
ISBN | 9788814040993 |
Formato | Materiale a stampa |
Livello bibliografico | Monografia |
Lingua di pubblicazione | ita |
Record Nr. | UNISALENTO-991000342989707536 |
Andrei, Paolo | ||
Milano : A. Giuffrè, 1993 | ||
Materiale a stampa | ||
Lo trovi qui: Univ. del Salento | ||
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Il conflitto d'interessi degli amministratori di società per azioni / Luca Enriques |
Autore | Enriques, Luca |
Pubbl/distr/stampa | Milano : Giuffrè, c2000 |
Descrizione fisica | xvi, 531 p. ; 24 cm |
Disciplina | 346.0664 |
Collana | Quaderni di Giurisprudenza commerciale ; 213 |
Soggetto topico | Società per azioni - Amministratori - Conflitto di interessi |
ISBN | 881408422X |
Formato | Materiale a stampa |
Livello bibliografico | Monografia |
Lingua di pubblicazione | ita |
Record Nr. | UNISALENTO-991003752139707536 |
Enriques, Luca | ||
Milano : Giuffrè, c2000 | ||
Materiale a stampa | ||
Lo trovi qui: Univ. del Salento | ||
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Corporate compliance on a global scale : legitimacy and effectiveness / / Stefano Manacorda, Francesco Centonze, editors |
Pubbl/distr/stampa | Cham, Switzerland : , : Springer, , [2022] |
Descrizione fisica | 1 online resource (370 pages) |
Disciplina | 346.0664 |
Soggetto topico |
Corporate governance - Law and legislation
White collar crimes Organized crime |
ISBN | 3-030-81655-9 |
Formato | Materiale a stampa |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
Intro -- Preface -- Acknowledgments -- Contents -- Contributors -- About the Editors -- Part I: Notion and Evolution of Corporate Compliance -- Compliance in Historical Context -- 1 Modern Compliance -- 2 From Judging to Administration -- 3 The Compliance Response -- 4 Outstanding Issues and Best Practices -- 5 Conclusion -- References -- What We Talk About When We Talk About Compliance -- 1 A Starting Definition of Compliance with Two Warnings -- 2 The Link Between Risk and Compliance -- 3 A Taxonomy of Compliance -- 4 Compliance as a Specific Issue for Large and Complex Corporations -- 5 The Key Role of Directors -- 6 The Incentives for Directors -- 7 Some Concluding Remarks -- References -- The Imperfect Science: Structural Limits of Corporate Compliance and Co-regulation -- 1 Compliance Failures: Bolt from the Blue or Predictable Surprise? -- 2 Corporate Compliance as an Intricate Rulemaking Process: The Tricky Path to Effectiveness -- 2.1 Compliance Programs as Imperfect Tools -- 2.2 The "Inefficiency" of the Perfect Corporate Compliance -- 3 The Ineffectiveness of Compliance in Preventing Crimes by Decisive Actors -- 4 The Inability to Prevent Crime in Small- or Medium-Sized Companies -- 5 Conclusion -- References -- Part II: The Global Dimension of Corporate Compliance -- The "Dilemma" of Criminal Compliance for Multinational Enterprises in a Fragmented Legal World -- 1 Corporate Criminal Liability and Compliance for MNEs: Preliminary Remarks on the Lack of Supranational Enforcement -- 2 The Increasing Role for Compliance in Assessing Corporate Liability and the Emerging "Dilemma" Concerning MNEs -- 3 The Fragmentation of Criminal Compliance for MNEs: The Risk of Undercompliance and Overcompliance -- 4 Home Country and Host Country Standards for Criminal Compliance.
5 Third-Country Standards for Criminal Compliance and the Extensive Reach of Jurisdiction -- 6 Private and Public International Standards for Criminal Compliance -- 7 Concluding Remarks -- References -- The Cross-Border Provision of Investment Services: Identifying the Evolving Regulatory Risks and the Strategies for Compliance -- 1 Introduction -- 2 The Regulatory Framework for the Cross-Border Provision of Investment Services -- 2.1 The Three Main Paradigms of Cross-Border Conduct Regulation in Securities and Derivatives Markets -- 2.2 The National Treatment Approach -- 2.3 Recognition -- 2.4 Passporting -- 2.5 Implications of Different Cross-Border Regulatory Models for Global Banks -- 3 The Role of the Compliance Function in the Management of Cross-Border Regulatory Risks -- 3.1 A Brief Overview of the Structure of the Internal Control System for Financial Institutions: The Three Lines of Defence -- 3.2 The Role of Compliance Within the Three Lines of Defence Model -- 3.3 The Need for Compliance Programmes and Compliance for the Management of Cross-Border Compliance Risks -- 3.4 The Role of Compliance, as a Second Line of Defence Function, with Respect to Cross-Border Compliance Risks -- 4 The Role of Other Functions, in Particular Legal and Internal Audit, and Their Interaction with the Compliance Function -- 5 Conclusions -- References -- Receiving "Corporate Compliance" in Latin America -- 1 Introduction -- 2 Main Features of Corporate Liability and Compliance in Latin America -- 2.1 A Revolutionary Shift -- 2.2 Initial Debates Around Legal Transplants and Local Appropriation -- 3 Business and Legal Debates Set Out by the New Paradigm -- 3.1 Business Incentives to Invest in Compliance: The Brazilian Experience -- 3.2 Outside Brazil: Preparing for the New Scenario -- Public Procurement -- Facilitation Payments and Commercial Extortion. Political Contributions -- Gifts, Hospitalities, and Travel Expenses -- 3.3 Legal Challenges Within Internal Investigations -- Data Privacy -- Interviews and Their Subsequent Use as Evidence in Criminal Courts -- Legal Privilege -- 3.4 Corporate Whistleblowing and Competing Plea Bargain Institutions -- 3.5 B2B Compliance and the Effects of Transnational Private Regulation -- Financing -- Audit Firms -- Mergers and Acquisitions -- 4 Testing the Paradigm Through High-Level Corruption Cases -- 5 Conclusion -- References -- Reports -- Case Law -- Interviews -- Part III: Stakeholders and Corporate Compliance -- Stakeholders' Interests and Compliance -- 1 From Shareholder Primacy to Stakeholder's Value: CSR, ESG, Sustainability, and Benefit Corporations -- 2 Compliance with CSR, ESG, and Sustainability: Respect for the Law-The Case of the Protection of Human Rights -- 3 CSR, ESG, and Sustainability: Non-financial Reporting, Stakeholders' Interests, and Compliance-The European Experience: Directive 2014/95/EU -- 4 The US Experience Compared to the EU: Non-financial Information and Risk Management -- 5 ESG Investors, ESG Shared Value, Larry Fink's Rule, and Skepticism -- 6 Compliance and Liability: If and How? Open Standards and the Role of Standards -- 7 Conclusion -- References -- Compliance and Victimization in Health, Safety, and Environment Management Systems -- 1 Corporate Violence and the Different Contexts of Victimization -- 2 Motivations for Adopting a Health, Safety, and Environment Management System -- 2.1 The Incentives and Disincentives Arising from the Legal Framework -- 2.2 Benefits and Limitations of Voluntary Adoption -- 3 HSE Management Systems and the Prevention of Victimization -- 3.1 The References and Aims of HSE Management Systems -- 3.2 Understanding the Needs and Expectations of Interested Parties. 3.3 Managing the Risks: Communication and Participation of Workers and Interested Parties -- References -- The Direct and Indirect Effects of Corporate Compliance -- 1 A Brief Introduction -- 2 The Direct Benefits -- 3 The Indirect Benefits -- 4 The Costs -- 5 Some Concluding Evidence in the Coronavirus Era -- References -- Part IV: Behavioral and Digital Compliance -- Global Behavioral Compliance -- 1 Introduction -- 2 Predictive Compliance -- 3 Behavioral Compliance: Lessons, Strategies, and Tactics -- 3.1 Teaching and Preaching -- 3.2 Surveillance -- 3.3 Reaction, Remediation, and Adjustment -- 3.4 Compliance Metrics: The Road to RegTech -- 4 Trust and Moral Agency: The Dilemmas of Behavioral Compliance -- 5 Behavioral Compliance in Global Perspective -- 6 Conclusion: The Partial Embrace of Behavioral Compliance -- References -- Cognitive Dynamics of Compliance and Models of Self-regulation: In Search of Effectiveness in Strategies of Crime Prevention -- 1 Dilemmas of Compliance -- 2 Compliance Through Deference -- 3 The Two Normative Levels of Corporate Compliance -- 4 Different Models of Self-regulation -- 4.1 The Crisis of Command-and-Control and the Increasing Relevance of Indirect Regulation -- 4.2 Voluntary Self-regulation: The Role of Ethics Codes -- 4.3 Enforced Self-regulation as a Cooperative Strategy -- 4.4 The Differentiated and Integrated Approach of Responsive Regulation -- 5 Internal Regulation -- 5.1 Legitimacy and Adherence to Values According to Procedural Justice -- 5.2 Legitimate Decision-Making -- 5.3 Legitimacy in Action and Moral Proximity Among Actors -- 5.4 Procedural Justice and Restorative Justice in Dealing with Rule-Breakers -- 6 Conclusion -- References -- Digital Compliance: The Case for Algorithmic Transparency -- 1 Digital Innovation and Compliance -- 1.1 Compliance and Digital Innovation in the Financial Sector. 1.2 The Digitalization of Everything and the Risk-Based Approach -- 1.3 The Rise of Fintech -- 2 Digital Innovation and Emerging Risks: AI and "Black Box" Algorithms -- 2.1 Old Risks in New Forms -- 2.2 New Risks: The Case for Algorithm Opacity -- 2.3 Machine Learning -- 2.4 Opacity of AI-Powered Algorithms -- 2.5 Open the Black Box? -- 3 Explaining the Algorithm: Actual Trendlines -- 3.1 The Algorithm and the Rights of Third Parties -- 3.2 The Early Solution: The Loomis Case -- 3.3 Teachers and the Algorithm: A Sustainability Issue -- 3.4 The GDPR and Decisions Based on Automated Processing -- 3.5 The "Right to Explanation" -- 3.6 One Explanation Does Not Fit All Cases -- 4 The New Challenges for the Compliance Function -- 4.1 The Duty to Explain -- 4.2 Forward Compliance -- 5 Conclusions -- References -- Part V: Corporate Compliance and Law Enforcement -- Stakeholders' Compliance Programs: From Management of Legality to Legitimacy -- 1 Legitimacy and Criminal Liability of Legal Persons -- 2 Punishment as Delegitimization -- 3 The Management of Legitimacy as an Objective of Corporate Social Responsibility -- 4 The Institutionalization of Stakeholder Interests and the Meaning of Compliance Programs -- 4.1 Regulation Theory and Legitimacy -- 4.2 Stakeholders' Compliance Programs -- Institutional Reform of Compliance Programs -- New Procedures -- The Development of Transparency -- 5 Sanctions Systems and Legitimacy -- 6 Conclusions -- References -- Exploring Voluntary and Mandatory Compliance Programmes in the Field of Anti-Corruption -- 1 Voluntary and Mandatory Anti-Corruption Compliance Programmes -- 2 How Anti-Corruption Laws Influence the Adoption and Implementation of Compliance Programmes: Incentives or Obligations? -- 3 Mandatory, Quasi-Voluntary, and Voluntary Anti-Corruption Compliance Programmes. 4 Incentivised Voluntary-Based Models Vs Mandatory-Based Models. |
Record Nr. | UNINA-9910523720403321 |
Cham, Switzerland : , : Springer, , [2022] | ||
Materiale a stampa | ||
Lo trovi qui: Univ. Federico II | ||
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Corporate governance and anti-bribery : critical board and company secretary issues / / by Rosamund Thomas ; Centre for Business and Public Sector Ethics (Cambridge, England) |
Autore | Thomas Rosamund |
Pubbl/distr/stampa | Bury St. Edmunds, England : , : Ethics International Press Ltd., , 2014 |
Descrizione fisica | 1 online resource (56 p.) |
Disciplina | 346.0664 |
Soggetto topico |
Corporation secretaries
Corporate governance - Law and legislation Corporate governance |
Soggetto genere / forma | Electronic books. |
ISBN | 1-871891-16-7 |
Formato | Materiale a stampa |
Livello bibliografico | Monografia |
Lingua di pubblicazione | eng |
Nota di contenuto |
""CORPORATE GOVERNANCE AND ANTI-BRIBERY: CRITICAL BOARD AND COMPANY SECRETARY ISSUES""; ""ACKNOWLEDGEMENTS""; ""FOREWORD""; ""Part 1. CORPORATE GOVERNANCE: CRITICAL BOARD AND COMPANY SECRETARY ISSUES""; ""CONTENTS""; ""1. INTRODUCTION TO THE COMPANY SECRETARY IN A UK PUBLIC COMPANY""; ""2. CORPORATE GOVERNANCE, THE BOARD OF DIRECTORS, AND THE COMPANY SECRETARY""; ""3. NARRATIVE REPORTING IN THE ANNUAL REPORT OF QUOTED COMPANIES AND THE ROLE OF THE COMPANY SECRETARY""; ""4. THE `SHAREHOLDER SPRING` 2012 AND SHAREHOLDER EMPOWERMENT""; ""5. GOOD AND POOR UK COMPANY SECRETARIES""
""6. CONCLUSIONS""""APPENDIX""; ""QUESTIONNAIRE FOR COMPANY SECRETARIES FOR A PROJECT BY CENTRE FOR BUSINESS AND PUBLIC SECTOR ETHICS, CAMBRIDGE, IN ASSOCIATION WITH ICSA MAY 2012""; ""Part 2. PRINCIPLES UNDERLYING THE NEW UK BRIBERY ACT 2010 AND PROCEDURES FOR COMPANIES TO ADOPT""; ""CONTENTS""; ""1. DEFINITION OF THE WORD `PRINCIPLE`""; ""2. INTRODUCTION TO THE UK BRIBERY ACT OF 2010""; ""3. GUIDING PRINCIPLES FOR COMMERCIAL ORGANISATIONS TO ADOPT TO PREVENT BRIBERY: A RISK-BASED APPROACH""; ""4. LEGAL PRINCIPLES UNDERLYING THE UK BRIBERY ACT OF 2010""; ""5. CONCLUSIONS"" ""ADDENDUM TO PAPER 1"" |
Record Nr. | UNINA-9910460070403321 |
Thomas Rosamund | ||
Bury St. Edmunds, England : , : Ethics International Press Ltd., , 2014 | ||
Materiale a stampa | ||
Lo trovi qui: Univ. Federico II | ||
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