[1] The Stock Exchange Publication, "Going Public", 1992, p. 5.
[2] Ibid.
[3] The Stock Exchange Publication, "A Listing in London - Europe's Leading Market-Place", 2nd Edition, May 1994, p. 7.
[4] The Stock Exchange Publication, "Going Public", 1992, p. 9.
[5] The Stock Exchange Publication, "A Listing in London - Europe's Leading Market-Place", 2nd Edition, May 1994, p. 7.
[6] Ibid, p. 8.
[7] Curwen, Peter, "Understanding the UK Economy", Macmillan, 1992, p. 99.
[8] Pawley, Michael, Winstone, David, Bentley, Patrick, "UK Financial Institutions and Markets", Macmillan, 1993, p. 45.
[9] Ibid.
[10] Penn, Graham, "Banking Supervision - Regulations of the UK Banking Sector under the Banking Act 1987", Butterworths, 1989, pp. 157-161.
[11] The London Stock Exchange Publication, "A History of The London Stock Exchange", 1993, p. 13.
[12] Ibid.
[13] LIFFE Publication, "LIFFE An Introduction", 1993, p. 1.
[14] Ibid, p. 3.
[15] Pennington, Robert R., "The Law of the Investment Markets", Blackwell Law, 1990, p. 17.
[16] The London Commodity Exchange Publication, "Contract Specifications: Commodity Futures and Options", 1994, p. 3.
[17] Pennington, Robert R., "The Law of the Investment Markets", Blackwell Law, 1990, p. 49.
[18] Ibid.
[19] SFA Publication (1993), "An Outline of SFA", p. 2.
[20] Blair, William; Allison, Austin; Palmer, Keith; Richards-Carpenter, Peter, "Banking and Financial Services Act", Butterworths, 1993, p. 69. Also see Rider, Barry, Chaikin, David, and Abrams, Charles, "Guide to the Financial Services Act 1986", CCH Editions Limited, 1987, p. 30.
[21] FIMBRA Publications, "Categories of Membership", "How to join FIMBRA", 1993.
[22] Blair, William; Allison, Austin; Palmer, Keith; Richards-Carpenter, Peter, "Banking and Financial Services Act", Butterworths, 1993, p. 70. Also see LAUTRO Publication, "A Self-Regulating Organisation", 1993, p. 5.
[23] SIB Publication, "The Background to Investor Protection", 1992, p. 13.
[24] Littlefair, Harry, "Investment and Savings Guide 1993-1994", Longman, 1993, p. 31.
[25] Rider, Barry, Chaikin, David, and Abrams, Charles, "Guide to the Financial Services Act 1986", CCH Editions Limited, 1987, p. 99.
[26] Ibid, p. 93. Also see SIB Publication, "The Background to Investor Protection", 1992, p. 13.