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Fraud, Manipulation and Insider Trading in the Indian Securities Markets. Author: Sandeep Parekh (Nov, 2013)

By Sandeep Parekh (Author)

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Fraud, Manipulation and Insider Trading in the Indian Securities Markets. Author: Sandeep Parekh (Nov, 2013)
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Fraud, Manipulation and Insider Trading in the Indian Securities Markets. Author: Sandeep Parekh (Nov, 2013)
Out Of Stock
477.0
Rs.477
Out of Stock

Description

The concept of securities regulations covers a field straddled between the fields of finance and law. This book covers an important aspect of securities regulations – fraud, manipulation and insider trading.  While both manipulation and insider trading prohibition fall under the broad umbrella of fraud, in India the law on insider trading has somewhat diverged on its own course.

 

This book would be useful for introducing corporate good governance by senior management in their companies to reduce the possibility of fraud, manipulation and insider trading as many people have to face the consequences of their juniors.  The book is recommended for Corporate houses, practitioners working in Securities market, investment banker, trader, analyst, deal maker, financial consultant, investment manager, chartered accountant, company secretary or a finance officer, besides lawyers and in-house law officers, MBA faculty and law students.  

 Features of the book:

  •  Comprehensive coverage from various statues relating to Securities frauds
  •  Comprehensive Coverage of concept of securities regulation under the Companies Act, 2013
  •  Important aspects of securities regulations – fraud, manipulation and insider trading covered.
  •  Covers landmark domestic as well as international cases highlighting various complex situations in the legislation
  •  Comprehensive Discussion on:
    • Fraudulent and Unfair Trade Practices
    • Manipulation of securities markets
    • Mis-Selling and recommending unsuitable products and IPO and Primary market fraud
    • Concept of Prohibition of Insider trading
  •  Detailed coverage of  powers of SEBI, enforcement action and remedies for investors

  

Content

Chapter 1   Background to Securities Frauds

Chapter 2   Common Law Fraud

Chapter 3   Statutory Fraud under FUTP Regulations and Companies Act, 2013

Chapter 4   Mis-Selling and Unsuitability

Chapter 5   Manipulation of Securities

Chapter 6   Primary Market Regulations on Fraud and Mis-statements

Chapter 7   Insider Trading

Chapter 8   Powers of SEBI, Enforcement and Remedies

 
Press Esc to close
 
 

The concept of securities regulations covers a field straddled between the fields of finance and law. This book covers an important aspect of securities regulations – fraud, manipulation and insider trading.  While both manipulation and insider trading prohibition fall under the broad umbrella of fraud, in India the law on insider trading has somewhat diverged on its own course.   This book would be useful for introducing corporate good governance by senior management in their companies to reduce the possibility of fraud, manipulation and insider trading as many people have to face the consequences of their juniors.  The book is recommended for Corporate houses, practitioners working in Securities market, investment banker, trader, analyst, deal maker, financial consultant, investment manager, chartered accountant, company secretary or a finance officer, besides lawyers and in-house law officers, MBA faculty and law students.    Features of the book:  Comprehensive coverage from various statues relating to Securities frauds  Comprehensive Coverage of concept of securities regulation under the Companies Act, 2013  Important aspects of securities regulations – fraud, manipulation and insider trading covered.  Covers landmark domestic as well as international cases highlighting various complex situations in the legislation  Comprehensive Discussion on: Fraudulent and Unfair Trade Practices Manipulation of securities markets Mis-Selling and recommending unsuitable products and IPO and Primary market fraud Concept of Prohibition of Insider trading  Detailed coverage of  powers of SEBI, enforcement action and remedies for investors    Content Chapter 1   Background to Securities Frauds Chapter 2   Common Law Fraud Chapter 3   Statutory Fraud under FUTP Regulations and Companies Act, 2013 Chapter 4   Mis-Selling and Unsuitability Chapter 5   Manipulation of Securities Chapter 6   Primary Market Regulations on Fraud and Mis-statements Chapter 7   Insider Trading Chapter 8   Powers of SEBI, Enforcement and Remedies   Press Esc to close    

Features

  • : Fraud, Manipulation and Insider Trading in the Indian Securities Markets. Author: Sandeep Parekh (Nov, 2013)
  • : Sandeep Parekh
  • : 9789351291145
  • : Fraud, Manipulation and Insider Trading in the Indian Securities Markets. Author: Sandeep Parekh (Nov, 2013)

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