Staff Directory Paul Ali
Publications |
Authored Books
Eco-Finance: The Legal Design and Regulation of Market-Based Environmental Instruments. The Hague: Kluwer Law International, 2004 (with K. Yano).
Synthetic, Insurance and Hedge Fund Securitisations. Sydney: Thomson, 2003 (with J. J. de Vries Robbé).
Corporate Governance and Investment Fiduciaries. Sydney: Lawbook Co., 2003 (with G. Stapledon and M. Gold).
The Law of Secured Finance: An International Survey of Security Interests over Personal Property. Oxford: Oxford University Press, 2002.
Marshalling of Securities: Equity and the Priority-Ranking of Secured Debt. Oxford: Clarendon Press, 1999.
Revised Editions of Books
Commercial Law: Commentary and Materials 2nd ed., Sydney: Lawbook Co., 2004 (with G Pearson and S Fisher).
Book Chapters
‘Managed Futures Funds and Other Fiduciary Futures Products’ in G. N. Gregoriou, V. N. Karavas, F. S. Lhabitant and F. Rouah (eds), Performance of Commodity Trading Advisors. New Jersey: John Wiley & Sons, 2004.
‘A Buy-Side Perspective of Hedge Funds: Regulating Hedge Fund Investments in the Developing Market for Hedge Funds in Australia’ in G. N. Gregoriou, V. N. Karavas and F. Rouah (eds), Hedge Funds: Strategies, Risk Assessment, and Returns. Washington DC: Beard Books, 2004.
Articles in Refereed Journals
New Frontiers in Credit Derivatives.’ Journal of Banking Regulation, 6 (2005), pp. 175-182 (with J. J. de Vries Robbe) (London: Henry Stewart).
‘Charitable Trusts and Hedge Funds.’ Journal of International Trust and Corporate Planning, 11 (2004), pp. 187-197 (Bristol: Jordans).
‘The Conundrum of Self-Referenced Credit-Linked Notes.’ Journal of International Banking Law and Regulation 19 (2004), pp. 326-330 (London: Sweet & Maxwell).
‘The Legal Characterisation of Weather Derivatives.’ Journal of Alternative Investments, 7 (2004), pp. 75-79 (New York: Institutional Investor).
‘Securitization of Bank Loans - Part I: A Guide to Balance Sheet CDOs.’ The Law Monthly 55 (2004), pp. 1030-1034 (Taipei: Reliance International Law Offices).
‘Securitization of Bank Loans - Part II: A Guide to Synthetic CDOs.’ The Law Monthly 55 (2004), pp. 1149-1153.
‘The Future of Hedge Fund Investing.’ Journal of the Securities Institute of Australia, 1 [2004], pp. 13-16 (with M. Gold) (Sydney: Securities Institute of Australia).
‘Hedge Fund Investing: Looking Ahead.’ Derivatives Use, Trading and Regulation 10 (2004), pp. 255-267 (with M. Gold) (London: Henry Stewart).
‘Funds of Hedge Funds and Fiduciary Investors.’ Australian Business Law Review, 32 (2004), pp. 362-366 (Sydney: Lawbook Co.).
‘Hedge Fund Investments and the Prudent Investor Rule.’ Trust Law International, 17 (2003), pp. 74-89 (London: Butterworths).
‘Equity Mini-Derivatives and the Future of On-Line Investing: An Australian Regulatory Perspective.’ European Business Organization Law Review, 3(1) (2002), pp. 211-235 (TMC Asser Institute, The Hague).
‘Analysing the Cost of Ethical Investment.’ Journal of the Securities Institute of Australia, 3 [2002], pp. 9-14 (erratum 4 [2002], p. 25) (with M. Gold).
‘The Australian Hybrids Market.’ Company and Securities Law Journal, 20 (2002), pp. 298-301 (Sydney: Lawbook Co.).
‘Individual Share Futures in Australia.’ Company and Securities Law Journal, 20 (2002), pp. 232-235.
‘Investing for Good - The Cost of Ethical Investment.’ Company and Securities Law Journal, 20 (2002), pp. 307-312 (with M. Gold).
‘Adding Yield to Stable Portfolios: Regulating Investments in Australian Hedge Funds.’ Company and Securities Law Journal, 19 (2001), pp. 414-436.
‘Portable Alpha Strategies Offer Greater Scope.’ Journal of the Securities Institute of Australia, 4 [2001], pp. 23-26 (with M. Gold).
‘The New Model Index Fund.’ Journal of the Securities Institute of Australia, 3 [2001], pp. 14-16 (with M. Gold).
‘American Depositary Receipts, and Expanding the Investor Base and Acquisition Appetite of Australian Listed Companies.’ Company and Securities Law Journal, 19 (2001), pp. 113-119.
‘Betting on Shares On-Line: The Nature and Regulation of Internet Equity Bets.’ Company and Securities Law Journal, 19 (2001), pp. 181-187.
‘Cross-Border Finance and Hedging Currency Convertibility Risk.’ Australian Business Law Review, 29 (2001), pp. 162-164.
‘e-Credit Derivatives: Buying and Selling Credit Risk over the Internet.’ Journal of Banking and Finance Law and Practice, 12 (2001), pp. 161-166 (Sydney: Lawbook Co.).
‘The Future of Loan Portfolio Management: An Overview of Synthetic Collateralised Loan Obligations.’ Journal of Banking and Finance Law and Practice, 12 (2001), pp. 58-61.
‘Holistic Risk Management, Nature-Linked Securities and Investors.’ Australian Business Law Review, 29 (2001), pp. 246-248.
‘New Applications for Credit Derivatives.’ Company and Securities Law Journal, 19 (2001), pp. 316-322.
‘Political Derivatives and Hedging Electoral Risk.’ Australian Business Law Review, 29 (2001), pp. 342-344.
‘Shares, Equity Derivatives and Managing Dividend Exposure.’ Company and Securities Law Journal, 19 (2001), pp. 53-57.
‘An Overview of ‘Portable Alpha’ Strategies, with Practical Guidance for Fiduciaries and Some Comments on the Prudent Investor Rule.’ Company and Securities Law Journal, 19 (2001), pp. 272-280 (with M. Gold).
‘Using the Market to Beat the Market: A Look at ‘Geared Beta’ Strategies and Implications for Fiduciaries.’ Company and Securities Law Journal, 19 (2001), pp. 379-386 (with M. Gold).
‘Unbundling Credit Risk: The Nature and Regulation of Credit Derivatives.’ Journal of Banking and Finance Law and Practice, 11 (2000), pp. 73-92.
‘Investor Remedies against Fiduciaries in Rising and Falling Markets.’ Company and Securities Law Journal, 18 (2000), pp. 326-350 (with T. Russell).
‘Alphabet Soup: An Overview of Exotic Convertible Securities.’ Company and Securities Law Journal, 18 (2000), pp. 579-584.
‘Bandwidth as a Tradeable Commodity: An Overview of On-Line Bandwidth Exchanges and Bandwidth Derivatives.’ Australian Business Law Review, 28 (2000), pp. 458-461.
‘Buying and Selling Volatility: Volatility Swaps and Unlawful Market Activity.’ Company and Securities Law Journal, 18 (2000), pp. 271-276.
‘GIO, Earthquakes and Hurricanes: An Overview of Catastrophe-Linked Securities and Other Innovations.’ Company and Securities Law Journal, 18 (2000), pp. 62-66.
‘Riskless Trading: Passport Options, Fund Managers and the Prudent Investor Rule.’ Company and Securities Law Journal, 18 (2000), pp. 209-212.
‘Securitisation and United States Tobacco Litigation.’ Australian Business Law Review, 28 (2000), pp. 214-218.
‘Weather Derivatives, Hedging Volumetric Risk and Directors’ Duties.’ Company and Securities Law Journal, 18 (2000), pp. 151-155.
‘The Next Generation of Index-Trackers: Exchange-Traded Funds and the Investment Duties of Fiduciaries.’ Company and Securities Law Journal, 18 (2000), pp. 570-578 (with M. Gold).
‘Having your Options and Eating Them too: Fences, Zero-Cost Collars and Executive Share Options.’ Company and Securities Law Journal, 18 (2000), pp. 277-282 (with G. Stapledon).
‘Virtual Flotations, Tracking Shares and Corporate Governance.’ Company and Securities Law Journal, 18 (2000), pp. 429-433 (with G. Stapledon).
‘Collateralised Debt Obligations, with an Overview of the CONDOR Securitisation Programme.’ Company and Securities Law Journal, 18 (2000), pp. 371-376 (with M. Tisdell).
‘Mimicking Shares: The Nature and Regulation of Equity Swaps.’ Company and Securities Law Journal, 17 (1999), pp. 436-452.
Articles in Professional Journals
‘Why Innovative Securitization is Far from Dead.’ International Financial Law Review, [2004], p. 14 (September).
‘Evolving Markets for Credit Derivatives.’ International Finance & Treasury, 30 May 2003, pp. 1, 8-9 and 18-19. International Reports, 30 May 2003, pp. 2, 8-9 and 18-19.
‘Hedge Funds shape up?’ Australian CPA, July 2003, pp. 40-42 (with M. Gold.
‘Hedge Funds: Not all they’re cracked up to be.’ Money Management, 6 February 2003, pp. 24-25 (with M. Gold).
‘Releasing Home Equity for Retirees.’ Mortgage Know How, October/November 2002, pp. 44-45.
‘Put it in Reverse: Releasing Home Equity for Retirees.’ Your Mortgage, September/October 2002, pp. 36-37.
‘Living in Sin.’ Australian CPA, October 2002, pp. 20-21 (with M. Gold).
‘The Truth about Sinful Stocks.’ Wealth, August 2002, pp. 22-25 (with M. Gold).
‘SRIs: Not as much bang for your buck.’ Money Management, 4 July 2002, p. 18 (with M. Gold).
‘What’s the next step for the local ETF Market?’ Money Management, 28 March 2002, pp. 18-19 (with M. Gold).
‘ETFs Unlock Listed Funds Market.’ Money Management, 15 February 2001, pp. 20-21 (with M. Gold).
‘Extracting Value from Executive Share Options.’ Company Director Journal, October 2000, pp. 16-19 (with G. Stapledon). Abridged version: ‘Employee Stock Options – A Warning.’ Boardroom, November/December 2001, p. 5.
Book Reviews
Law and Regulation of Investment Management edited by Dick Frase. London: Sweet & Maxwell, 2004. Journal of International Banking Law and Regulation, 20 (2005), pp. 149-150.
International Finance: Law and Regulation by H. S. Scott. London: Sweet & Maxwell, 2004. Journal of International Banking Law and Regulation, 19 (2004), p. 522.
Securitisation & Mortgage Bonds: Legal Aspects and Harmonisation in Europe by S. Nasarre-Aznar. Saffron Walden, Essex: Gostick Hall Publications, 2004. Journal of International Banking Law and Regulation, 19 (2004), p. 417.
Set-Off by S. R. Derham. Oxford: 3rd ed., Oxford University Press, 2003. Journal of International Banking Law and Regulation, 19 (2004), p. 316.
Gutteridge and Megrah’s Law of Bankers’ Commercial Credits by R. King. London: Europa, 2002. Journal of International Banking Law and Regulation, 18 (2003), p. 33.
The Law of Global Custody: Legal Risk Management in Securities Investment and Collateral by J. Benjamin, M. Yates and G. Montagu. London: 2nd ed., Butterworths, 2002. Journal of International Banking Law and Regulation, 18 (2003), p. 396.
Loan and Security Documents: A Negotiating Handbook by J. Dakin, G. Rabinowitz and V Beattie-Jones. London: 2nd ed., Jordans, 2002. Journal of International Banking Law and Regulation, 18 (2003), p. 149.
Remedies under Security Interests edited by I. M. Fletcher and O. Swarting. London: Kluwer Law, 2002. Journal of Banking and Finance Law and Practice, 14 (2003), pp. 138-139.
The Repo Handbook by M Choudhry. London: Butterworth-Heinemann, 2002. Journal of International Banking Law and Regulation, 18 (2003), p. 196.
Current Issues in Securitisation edited by J. Borrows. London: Sweet & Maxwell, 2002. Company and Securities Law Journal, 20 (2002), pp. 243-244. Journal of International Financial Markets, 4 (2002), pp. 143-144.
Derivatives Law and Regulation by R. Gengatharen. London: Kluwer Law, 2001. Company and Securities Law Journal, 20 (2002), pp. 66-68.
Documentary Credits by R. Jack, A. Malek and D. Quest. London: Butterworths, 2001. Journal of International Banking Law, 17 (2002), p. 83.
An Introduction to Islamic Finance by M. T. Usmani. The Hague: Kluwer Law, 2001. Journal of International Banking Law, 17 (2002), pp. 285-286.
Resolution of Disputes between Foreign Banks and Chinese Sovereign Borrowers by Y. M. Shen. London: Kluwer Law, 2000. Journal of International Banking Law, 17 (2002), p. 28.
Cross-Border Security edited by Norton Rose. London: Butterworths, 2000. Journal of Banking and Finance Law and Practice, 12 (2001), pp. 317-318.
Custody of Investments: Law and Practice by A. O. Austen-Peters. Oxford: Oxford University Press, 2000. Journal of Banking and Finance Law and Practice, 12 (2001), pp. 227-228.
Emerging Markets Debt: An Analysis of the Secondary Market by R. P. Buckley. London: Kluwer Law, 1999. Company and Securities Law Journal, 19 (2001), pp. 125-126. Journal of International Banking Law, 16 (2001), p. 65.
Hedge Funds: Law and Regulation edited by I. Cullen and H. Parry. London: Sweet & Maxwell, 2001. Journal of International Banking Law, 16 (2001), p. 145.
Interests in Securities: A Proprietary Law Analysis of the International Securities Markets by J. Benjamin. Oxford: Oxford University Press, 2000. Company and Securities Law Journal, 19 (2001), pp. 298-300.
Modern Financial Techniques, Derivatives and Law edited by A. Hudson. London: Kluwer Law, 2000. Building the Global Market: A 4000 Year History of Derivatives by E. J. Swan. London: Kluwer Law, 2000. Company and Securities Law Journal, 19 (2001), pp. 550-554.
Managed Investments Law and Practice by P. F. Hanrahan. Sydney: CCH Australia, 2001. Company and Securities Law Journal, 19 (2001), pp. 214-215.
Annotated Consumer Credit Code by D. McGill and L. Willmott. Sydney: LBC Information Services, 1999. Journal of Banking and Finance Law and Practice, 11 (2000), pp. 360-362.
Credit Derivatives: Law, Regulation and Accounting Issues edited by A. Hudson. London: Sweet & Maxwell, 2000. Journal of International Banking Law, 15 (2000), p. 260. Journal of International Financial Markets, 2 (2000), p. 151.
Regulating the Financial Services Sector by G. P. Gilligan. London: Kluwer Law, 1999. Company and Securities Law Journal, 18 (2000), pp. 444-446.
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