Credit Rating Over-Reliance in Asset Management

A Legal and Economic Analysis of Mutual Fund Prospectuses and Regulatory Law in Europe and The United States
Nomos, 1. Edition 2023, 262 Pages
The product is part of the series Studien zum Bank-, Börsen- und Kapitalmarktrecht
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ISBN 978-3-7560-1335-7
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ISBN 978-3-7489-1862-2
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Description
The 2008 financial crisis brought the far-reaching influence of credit ratings on capital markets into focus and confirmed doubts about the quality of ratings published by rating agencies. In the context of regulatory efforts to limit the influence of ratings, Marius Müller addresses the question to what extent investment funds are obliged to sell bonds that no longer comply with investment guidelines following a rating downgrade. Results of a statistical analysis of 200 European and U.S. fund prospectuses are evaluated in the light of regulatory objectives. Subsequently, a structural proposal for the formulation of investment guidelines is developed, accounting for the protection of investor interests and market functioning.
Bibliographical data
Bibliographical data
Edition 1
ISBN 978-3-7560-1335-7
Subtitle A Legal and Economic Analysis of Mutual Fund Prospectuses and Regulatory Law in Europe and The United States
Publication Date Dec 27, 2023
Year of Publication 2023
Publisher Nomos
Format Softcover
Language englisch
Pages 262
Medium Book
Product Type Scientific literature
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