World Securities Law Report
What it is
Keep informed about the latest legal and regulatory developments affecting international capital markets. World Securities Law Report provides news and analysis of legal and regulatory developments around the world affecting securities and other financial instruments.
Each month, you’ll receive news reports on:
New laws, regulations, and standards governing the issuance, listing, trading, and other operations involving securities, futures, derivatives, and other financial instruments — both within countries and on a cross-border basis.
New rules on corporate governance, accounting, and financial reporting by securities issuers.
Multilateral developments affecting the regulation of securities issuers and investment funds, including coverage of the European Union, International Organization of Securities Commissions, and International Accounting Standards Board, among others.
Bilateral developments in securities regulation, such as memoranda of understanding, etc.
In addition, each issue includes in-depth analysis of, and practical guidance on how to comply with, new laws and regulations affecting operations with securities.
Between issues you’ll also receive e-mail alerts, briefing you on all important breaking news.
What it helps you to do
News and country reports ensure you keep up to date with the latest securities information
Tap into BNA’s network correspondents, giving you early warning and details of new legislation and developments
Detailed commentary helps you understand global compliance issues
Major Topics Covered
- Accounting Standards
- Broker-dealer Regulations
- Compliance and Enforcement
- Corporate Governance
- Disciplinary Actions
- Disclosure and Reporting
- Exchanges and Markets
- Financial Analysts
- Insider trading
- Investment advisers and intermediaries
- Listing Requirements
- Market Abuse
- Market Regulation
- Mutual Funds
- Self-regulatory organizations
- Shareholder Rights