MVV274K Law of International Financial Market

Právnická fakulta
jaro 2019
Rozsah
0/1/0. 5 kr. Ukončení: k.
Vyučující
dr Michał Mariański (přednášející), doc. JUDr. Ing. Michal Radvan, Ph.D. (zástupce)
Garance
doc. JUDr. Ing. Michal Radvan, Ph.D.
Právnická fakulta
Kontaktní osoba: Mgr. Věra Redrupová, B.A.
Dodavatelské pracoviště: Právnická fakulta
Rozvrh seminárních/paralelních skupin
MVV274K/01: Po 8. 4. 16:00–17:40 025, Út 9. 4. 12:00–13:40 025, St 10. 4. 10:00–11:40 025, 12:00–13:40 025, Čt 11. 4. 18:00–19:40 025
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Mateřské obory/plány
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Cíle předmětu
The main goal of the course is the description of the financial instrument as a subject of trade in the global market. The financial instrument and the development of this institution is also related to the Financial Crisis 2007-09 that forced the national and international legislators to create some new financial markets acts.
Osnova
  • 1. Law of financial market – subject and notion. Main content and bibliography, methodology of the course, evaluation process.
  • 2. History of financial instruments
  • 3. Definition of financial instrument in Polish Law
  • 4. Definition of financial instrument In German, French, European and International Law
  • 5. The Global Financial Crisis of 2007-09. The Impact of Globalization.
  • 6. Convention of 5 July 2006 on the Law Applicable to Certain Rights in Respect of Securities held with an Intermediary
  • 7. Redefining and Containing of Systemic Legal Risk after Financial Crisis in the perspective of conflict of laws rules
  • 8. New concept of consumer protection on the international and national financial market
  • 9. The law applicable for the contracts concluded on the financial market
  • 10. Challenges related to the new technologies on the financial market (FinTech regulations) and Revision
Literatura
  • See Teacher's Information for full details.
Výukové metody
Lessons with discussion, Power Point presentation
Metody hodnocení
Oral exam or a short essay on a chosen subject
Vyučovací jazyk
Angličtina
Informace učitele
Literature
Basic:
1. E. Avgouleas, Governance of Global Financial Markets, Cambridge University Press 2012.
2. M. Lemonnier, Europejskie modele instrumentów finansowych: Wybrane zagadnienia. Warszawa 2017.
3. M. Mariański, „Wpływ prawa międzynarodowego na ewolucję koncepcji instrumentu finansowego w wybranych państwach Unii Europejskiej”, Wyd. UWM Olsztyn 2014
Optional:
1. R. McCornick, Legal Risk in the Financial Markets, Oxford 2010.
2. J. A. Tatom, Financial Market Regulation. Legislation and Implications, Sprnger 2011.
Other sources:
Www.unidroit.org, - organisation for private law unification
www.asil.org/pil1.cfm– American association of international law
http://www.hcch.net/index_fr.php - the Hague Conference on Private International Law

Note about the teacher : Michał MARIAŃSKI
Doctor of legal sciences, Department of Financial Law, Assistant Professor at Faculty of Law and Administration UWM in Olsztyn, Poland. Graduated at Faculté de droit – Université d’Auvergne Clermonf-Ferrand (France), Author specializes in the law of financial market, international private law and comparative law with a specialization in French law. He is the author of more than 50 reviewed articles in different journals and books. He is a member of Association Henri Capitant des Amis de la Culture Juridique Française and an attorney at law being a member of Regional Bar Associations in Olsztyn.
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