General Editor: Keith Clark, General Counsel, Morgan Stanley
The book provides a practical yet authoritative and sophisticated discussion of conflicts of interest in the Audit Profession, Legal Profession and Investment Banks/Financial Services, providing readers with a firm grounding of the relevant issues: philosophical, political, practical and technical. The tone and content will capture the dynamic and challenging essence of the topic, providing readers with an easy to use reference guide to this important subject.
Overview: International General Counsel, Morgan Stanley Keith Clark
Australia: Mallesons Stephen Jaques Ashley Black, Michael Gammans, Kate Mills and Alexander Morris
Canada: McMillan Binch Mendelsohn LLP Lisa Kerbel Caplan, Ginevra M Saylor and Robert M Scavone1
Comment and Analysis: Managing Director of the Regulatory Group, Morgan Stanley Eric Dinallo1
England and Wales: Clifford Chance LLP Jeremy Sandelson and Simon James
France: Clifford Chance Thomas Baudesson, Rémi Sermier, Bruno Fatier and Christian Dargham
Germany: Clifford Chance LLP Rafik Ahmad and Uwe Hornung
Hong Kong: Lovells Mark Lin, John Hartley and Jamie Barr
Introduction: General Counsel, The Financial Services Authority, London Andrew Whittaker
Ireland: Mason Hayes Curran Sarah Gallagher, Irene Michelle Daly and Daragh O’Shea
Italy: Gianni, Origoni, Grippo & Partners Enzo Schiavello and Antonio Segni
Japan: Anderson Mori Tomotsune Tatsu Katayama
The Netherlands: Schakenraad1, Mark van Driel2Nauta Dutilh NV Jan Loorbach and Willem Calkoen, Henk
Portugal: Rua Castilho Tito Arantes Fontes, Filipe Romao, Catarina Gonçalves de Oliveira, José João Ferreira Go
Switzerland: Froriep Renggli Bruno Boesch, Michael Fischer and Elmar Meyer
United States: Rifkind, Wharton & Garrison LLP Mark S Bergman, Gerard E Harper, Paul H Cohen and Berit Winge