A Practitioner’s Guide to the Law and Regulation of Market Abuse covers all aspects of the law relating to market abuse in the United Kingdom. It examines the regulation of market abuse under the Financial Conduct Authority and explains the practical application of the market abuse regime in relation to specific industry areas including primary markets, mergers and acquisitions, listed companies, sales and trading, commodity derivatives and fund management.
Comprehensive as well as practical, it also considers market manipulation, unlawful disclosure of inside information and insider trading, and this third edition is fully updated to reflect all the changes in legislation post-Brexit.
New for this edition: