The Oxford EU Financial Regulation Series provides rigorous analysis of all aspects of EU Financial Regulation and covers the regulation of banks, capital markets, insurance undertakings, asset managers, payment institutions and financial infrastructures.
The aim of the series is to provide high-quality dissection of and comment on EU Regulations and Directives, and the EU financial regulation framework as a whole. Titles in the series consider the elements of both theory and practice necessary for proper understanding, analysing the legal framework in the context of its practical, political and economic background, and offering a sound basis for interpretation.
Series Editors: Danny Busch, Radboud University Nijmegen, Guido Ferrarini, University of Genoa, and Veerle Colaert, Katholieke Universiteit Leuven