European Company and Financial Law Review
2004 - 2024
Current editor(s): Heribert Hirte From De Gruyter Bibliographic data for series maintained by Peter Golla (). Access Statistics for this journal.
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Volume 11, issue 4, 2015
- The “COMI” Concept in the Revision of the European Insolvency Regulation pp. 479-494

- Latella Dario
- Comi-migration: Use or Abuse of European Insolvency Law? pp. 495-530

- R.J. de Weijs and Breeman M.S.
- The Wonderful World of Privileges: - The Par Condicio Creditorum vs. Closeout-Netting pp. 531-553

- Paulus Christoph G.
- Comparing Insider Trading in the United States and in the European Union: History and Recent Developments pp. 554-593

- Ventoruzzo Marco
- Acting in Concert in EU Company Law: How Safe Harbours can Reduce Interference with the Exercise of Shareholder Rights pp. 594-632

- Ghetti Riccardo
Volume 11, issue 3, 2014
- Market Abuse and Private Enforcement pp. 297-332

- D. Tountopoulos Vassilios
- Regulation and Liability of Credit Rating Agencies – A More Efficient European Law? pp. 333-363

- Möllers Thomas M.J. and Niedorf Charis
- Active Shareholders and European Takeover Regulation pp. 364-392

- Winner Martin
- No Rule, Just Exemptions?: Mandatory Bids in Sweden and the EU pp. 393-404

- Skog Rolf and Sjöman Erik
- Learning from Russia? – How a Coherent Systematic Approach and Strict Focus on Investor Protection Could Improve a European Framework on Mandatory Disclosure pp. 405-453

- Werner Kai
- The European Court of Justice: Selling Us Short? pp. 454-477

- Howell Elizabeth
Volume 11, issue 2, 2014
- How to Fund Assetless Estates in Insolvency? Assessing European Funding Mechanisms pp. 135-158

- Gijs van Dijck
- Six Components of Corporate Governance That Cannot Be Ignored pp. 160-195

- McCahery Joseph A. and Vermeulen Erik P.M.
- Symposium Discussion Report: Insolvency of Corporate Groups pp. 196-199

- Warchol Joanna
- Enterprise Groups and their Insolvency: It’s the (Common) Interest, Stupid! pp. 200-213

- Arie Van Hoe
- European Challenges for Institutional Investor Engagement – Is Mandatory Disclosure the Way Forward pp. 214-257

- Birkmose Hanne Søndergaard
- The Dividing Line Between Shareholder Democracy and Board Autonomy: Inherent Conflicts of Interest as Normative Criterion pp. 258-296

- Cools Sofie
Volume 11, issue 1, 2014
- The Swedish Securities Council: A Takeover Panel, and More pp. 1-14

- Skog Rolf and Sjöman Erik
- Comparative Corporate Governance of Non-Profit Organizations pp. 15-30

- Thomsen Steen
- Cooperatives As Governance Mechanisms pp. 31-52

- Lehmann Matthias
- Branches of Companies in the EU: Balancing the Eleventh Company Law Directive, National Company Law and the Right of Establishment pp. 53-96

- Engsig Sørensen Karsten
- An Orderly Liquidation Authority within a Disorderly Supervisory Framework: Looking into the Dodd-Frank Act from Europe pp. 97-133

- Giani Leonardo and Crivellaro Jacopo
Volume 10, issue 4, 2013
- Exit Taxation on Capital Gains in the European Union: A Necessary Consequence of Corporate Relocations? pp. 507-522

- Peeters Steven
- Forum Shopping in Times of Crisis: A Directors’ Duties Perspective pp. 523-553

- Mevorach Irit
- Cooperation between Liquidators and Courts in Insolvency Proceedings of Related Companies under the Proposed Revised EIR pp. 554-592

- Reumers Michele
Volume 10, issue 3, 2013
- The Risky Business of Regulating Risk Management in Listed Companies pp. 271-303

- Enriques Luca and Zetzsche Dirk
- pp. 304-327

- Former The
- Governing Corporations with Concentrated Ownership Structure: An Empirical Analysis of Hedge Fund Activism in Italy and Germany, and Its Evolution pp. 328-393

- Erede Matteo
- EU Corporate Governance: A New Supervisory Mechanism for the ʻComply or Explainʼ Principle? pp. 394-431

- Sergakis Konstantinos
- Takeovers and Incidental Protection of Minority Shareholders pp. 432-460

- Mukwiri Jonathan
- Friends with Benefits?!: A Comparative View on Legal Standing to Challenge Board Decisions pp. 461-505

- Stijn De Dier
Volume 10, issue 2, 2013
- 7th ECFR Symposium – Luxembourg – 28 September 2012 Opening Remarks pp. 113-116

- Gramegna Pierre
- The Present and Future of Corporate Governance: Re-Examining the Role of the Board of Directors and Investor Relations in Listed Companies pp. 117-163

- McCahery Joseph A., Vermeulen Erik P.M. and Hisatake Masato
- Symposium Discussion Report: Duties and Liabilities of Board Members in Listed Companies pp. 164-166

- Cools Sofie
- Conflict of Interest, Secrecy and Insider Information of Directors, A Comparative Analysis pp. 167-193

- Hopt Klaus J.
- Director’s Duties in Groups of Companies – Legalizing the Interest of the Group at the European Level pp. 194-226

- Conac Pierre-Henri
- Symposium Discussion Report: Related Party Transactions pp. 227-229

- Cools Sofie
- Corporate Mobility in the European Union – a Flash in the Pan? An empirical study on the success of lawmaking and regulatory competition pp. 230-267

- Wolf-Georg Ringe
- Symposium Discussion Report: The Transfer of Seat pp. 268-270

- Cools Sofie
Volume 10, issue 1, 2013
- The Vale Decision and the Court’s Case Law on the Nationality of Companies pp. 1-17

- Hansen Jesper Lau
- The Reform of the Transparency Regime in European Capital Markets Laws pp. 18-44

- Veil Rüdiger
- The “company’s interests” of the “società aperte” under Italian Corporate Laws pp. 45-74

- Cossu Monica
- Hybrid Legal Forms at the Gates: The Transition from Combined Legal Forms to Hybrid Corporations and its Consequences for Creditor Protection pp. 75-112

- Schaper Martin
Volume 9, issue 4, 2012
- Directors’ Versus Shareholders’ Primacy in U.S. Corporations Through the Eyes of History: Is Directors’ Power “Inherent”? pp. 421-445

- Bruno Sabrina
- Empty Voting: A European Perspective pp. 446-483

- Clottens Carl
- Perspectives on Group Corporate Governance and European Company Law pp. 484-529

- Di Noia Carmine and Gargantini Matteo
- Rendering (Once More) the Financial Assistance Regime More Flexible pp. 530-570

- Strampelli Giovanni
- The Hidden Voyage of a Dying Italian Company, from the Mediterranean Sea to Albion: – A Comment to the ECJ Decision “Interedil” on Cross-Border Transfer of Registered Office before the Filing for Insolvency – pp. 571-579

- Mucciarelli Federico M.
Volume 9, issue 3, 2012
- Perspectives on Group Corporate Governance and European Company Law pp. 261-274

- Chiappetta Francesco and Tombari Umberto
- Reforming the Regulation of Trading Venues in the EU under the Proposed MiFID II – Levelling the Playing Field and Overcoming Market Fragmentation? pp. 275-306

- Clausen Nis Jul and Sørensen Karsten Engsig
- Credit Default Swaps and the EU Short Selling Regulation: A Critical Analysis pp. 307-341

- Juurikkala Oskari
- Shareholders and Corporate Scrutiny: The Role of the UK Stewardship Code pp. 342-379

- Arsalidou Demetra
- Expulsion and Valuation Clauses – Freedom of Contract vs. Legal Paternalism in German Partnership and Close Corporation Law pp. 380-419

- Schmolke Klaus Ulrich
Volume 9, issue 2, 2012
- Back to the Future?: Central Banks as Prudential Supervisors in the Aftermath of the Crisis pp. 112-130

- Donato Masciandaro
- Some Challenges Facing European Central Banks as Supervising Authority pp. 131-155

- Vletter- van Dort Hélène M.
- The ECB’s Controversial Securities Market Programme (SMP) and its role in relation to the modified EFSF and the future ESM pp. 156-178

- Sester Peter
- The International Financial Cooperation – Recent Reforms pp. 179-193

- Eva Hüpkes
- State Aids, Central Banks and the Financial Crisis pp. 194-220

- Psaroudakis Georgios
- Infringements of Fundamental Freedoms within the EU Market for Corporate Control pp. 221-260

- Papadopoulos Thomas
Volume 9, issue 1, 2012
- New Regulation of Remuneration in the Financial Sector in the EU pp. 1-34

- Ferran Eilís
- Shoot-Out Clauses in Partnerships and Close Corporations pp. 35-50

- Fleischer Holger and Schneider Stephan
- Incorporation of IFRS in the United States: An Analysis of the SEC's Options and the Implications for the EU pp. 51-73

- Pöschke Moritz
- Trustee or Delegate? Understanding Representation to Illuminate Shareholder Governance and Regulatory Change pp. 74-100

- Verstein Andrew
- The Compatibility of Corporate Exit Taxation with European Law pp. 101-110

- Biermeyer Thomas, Elsener Fabio and Timba Fiona
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