The concept of securities regulations covers a field straddled between the areas of finance and law. This book covers an important aspect of securities regulations – fraud, manipulation and insider trading. While both manipulation and insider trading prohibition fall under the broad umbrella of fraud, in India, the law on insider trading has somewhat diverged on its own course.
The book is recommended for corporate houses, practitioners working in the securities market, investment bankers, trader, analysts, deal makers, financial consultants, investment managers, chartered accountants, company secretaries or finance officers, besides lawyers and in-house law officers, MBA and law students.
- Updated as per Insider Trading Regulations, 2015
- Comprehensive coverage and critical analysis of various statutes, regulations relating to securities frauds
- Detailed coverage of powers of SEBI, enforcement action and remedies for investors
- Covers landmark domestic and international case laws