Brill Research Perspectives in International Banking and Securities Law addresses legal and regulatory developments in the area of banking and securities law from both international and interdisciplinary perspectives. It reviews and advances scholarship in this complex area of law and is of interest to academics, practitioners, and policy makers.
Each issue in the journal comprises a single article. The articles published may focus not only on regional developments relating to banking and finance but also on multilateral and international arrangements. Recurrent themes include (but are not limited to) studies and analysis of the international financial architecture as well as aspects of market infrastructure, the protection of consumers in the financial sector, and specifics of banking, securities markets, and mutual fund regulation.
If you would like to submit a proposal for a review article in a suitable subject, please contact
Irene van Rossum. The proposal should be a one-page description of the article you would like to contribute to the journal. The proposal will be evaluated by the editors. A contract will be issued when the proposal has been accepted. For more information on the BRP concept, please read the information
Editors-in-Chief Armin J. Kammel,
Danube University Krems; California Lutheran University Sandra Annette Booysen,
National University of Singapore Christian A. Johnson,
Widener University Commonwealth Law School
Associate Editors: Douglas W. Arner,
The University of Hong Kong Christopher CHEN Chao-hung,
Singapore Management University Alexander F.H. Loke,
City University of Hong Kong Sébastien Neuville,
Université Toulouse Capitole & Sciences Po Paris Ruth Plato-Shinar,
Netanya Academic College Holly Powley,
University of Bristol Law School Poonam Puri,
York University Paolo Saguato,
George Mason University
Armin J. Kammel is Professor (FH) of Banking Law and Securities Regulation at Lauder Business School (LBS) in Vienna, Faculty Member and Ehrenprofessor (Honorary Professor) at the Department of Economic Law and European Integration at Danube University Krems as well as Adjunct Faculty Member at California Lutheran University (CLU). He has widely published in the areas of international and European banking law, securities regulation, capital markets and corporate law.
Dr. Sandra A. Booysen is an Assistant Professor at the National University of Singapore and an Executive Committee Member of NUS’s Centre for Banking and Finance Law. Sandra’s research interests are in banking law, bank documentation, and contract law. For further details,
Christian A. Johnson is the Dean and Professor of Law at Widener University Commonwealth Law School in Harrisburg, Pennsylvania. Dean Johnson has written and spoken extensively on OTC derivatives, repos, and capital markets. He was also a consultant for the Federal Reserve Bank of Chicago and was a CPA for Price Waterhouse.