The “preparation” function in the new banking legislative framework
by Vincenzo Troiano – Andrea Sacco Ginevri [[1]] Abstract: This Article examines certain issues arising from the new regulation on bank crisis recovery and resolution, and specifically the so-called “preparation” function, … Continue reading
UK referendum and Brexit hypothesis (The way out perspective and the convenience to ‘remain united’)
by Francesco Capriglione Abstract: This paper concerns the position of the United Kingdom in the framework of diversity that characterizes the European Union, by focusing on the uncertainty caused by a referendum on the … Continue reading
The New European Framework For Banking Crisis Management. Will It Be Enough?
by Giuseppe Boccuzzi Abstract: This paper concerns the regulatory responses to the financial crisis, focusing on the construction of Banking Union and the Bank Recovery and Resolution Directive. This paper takes into … Continue reading
Banking market and the lack of clients’ protection. Paper from the conference «Bail-in and protection of savings»
by Aldo Angelo Dolmetta Abstract: In November 2015, the Italian Government started a «resolution procedure» involving four central-Italy banks, which were basically insolvent. In doing so, it applied the «burden sharing principle», … Continue reading
The impact of the bail-in on banking services and bank funding
by Vincenzo Troiano and Gregorio Consoli Abstract: This paper examines the main implications for bank services and bank funding that arise from the introduction of the Bank Recovery and … Continue reading
Hot Tips Turned Flops: Liability for Unsuitable Investment Advice – An Integrated Approach
by Hanns A. Abele, Georg E. Kodek and Guido K. Schaefer Abstract: This paper develops a new analytical framework for assessing losses from unsuitable investment advice, integrating both legal and economic aspects. First, … Continue reading
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