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Journal of Financial Compliance is the major new professional journal publishing in-depth, peer-reviewed articles and case studies on how financial institutions can proactively manage the implementation of and adherence to regulatory requirements and effectively mitigate compliance and legal risk, as well as how central banks and financial regulators can effectively manage supervision, inspection and enforcement to facilitate customer/investor protection, financial stability and market growth.

Publisher: Henry Stewart Publications

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Volume 1 / Number 2 / Autumn/Fall 2017

Editorial
pp. 100-101(2)

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Dealing with politically exposed persons: Navigating the changing regulatory environment
pp. 102-111(10)
Authors: Cogman, Susannah; Head, Elizabeth

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Personal liability: What compliance professionals need to know
pp. 137-146(10)
Author: Greenberg, Polly

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Behavioural patterns in rogue trading: Analysing the cases of Nick Leeson, Jérôme Kerviel and Kweku Adoboli — Part 1
pp. 156-171(16)
Authors: Rafeld, Hagen; Fritz-Morgenthal, Sebastian; Posch, Peter N.

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The position of individuals in regulatory investigations: A changing landscape
pp. 172-182(11)
Authors: Wilkes, Guy; Kean, Francis

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