Description |
xlv, 528 pages ; 25 cm |
Contents |
Funds management -- The general law framework -- Financial services regulation -- Product regulation and prudential supervision -- Officers -- The pattern of officers' accountability -- Officers' duties of care and effort -- Officers' duties to act properly -- Conflicts of interest and collateral advantage -- Disclosure -- Liability for participation in the company's wrongdoing -- Directors' liability for debts wrongfully incurred -- Public law sanctions -- Private remedies |
Summary |
The work enables directors and other officers of companies that operate managed investment schemes, and those who advise them to understand what the law requires of them in operating the scheme, and when they can be held personally liable for maladministration of the scheme. It does so by weaving together the separate sources of accountability in company law, trust law, managed investments law and financial services regulation to produce a coherent statement of the current law |
Notes |
Includes index |
Bibliography |
Includes bibliographical references |
Subject |
Liability (Law) -- Australia.
|
|
Portfolio management -- Australia.
|
|
Administrative responsibility -- Australia.
|
|
Corporation law -- Australia.
|
ISBN |
9780409323610 hardback |
|