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Construction Insurance and UK Construction Contracts

Voyage Charters

Charterparties Law Practice and Emerging Legal Issues

The Law of Tug and Tow and Offshore Contracts

The Law of Tug and Tow and Offshore Contracts

Fully updated and revised to take into account the new BIMCO Supplytime 2017 contract with a detailed analysis of the changes since the Supplytime 2005 form and including a new analysis for the first time of the BIMCO Bargehire form this is the only modern work on the law of towage and offshore vessel services. It gives a comprehensive and extensively researched account of the general law coupled with a detailed clause-by-clause commentary and analysis of all of the major standard contracts used in the international offshore towage and heavylift sectors comprising the BIMCO Towcon Towhire Supplytime and Heavylift forms the full suite of BIMCO Wreck Removal forms and now also the BIMCO Bargehire form as well as the ISU Salvcon and Salvhire forms. The Law of Tug and Tow and Offshore Contracts has rapidly established itself as a leading text and is written by Simon Rainey QC one of the foremost shipping practitioners with unrivalled experience in the field. Key reasons to buy The Law of Tug and Tow and Offshore Contracts Fourth Edition • the only clause-by-clause commentary on all of the major standard form contracts used by the offshore industry • the only in-depth analysis of the drafting history of the BIMCO standard form offshore contracts comparing the recent amended versions in their drafting context; • the only authoritative analysis of the case law and arbitration decisions affecting the towage and offshore industries • written from the perspective of a leading practitioner with unrivalled practical experience over many years of the contract forms and of the issues which arise under them (many of which are unreported) and involved in almost all of the leading cases and arbitrations in the field • written with an eye on the practicalities of how the contracts work given the everyday problems which arise in the industry with guidance where the standard forms may require amendment

GBP 475.00
1

Port Management and Operations

Ship Sale and Purchase

Ship Sale and Purchase

Ship Sale and Purchase is the essential working guide for anyone involved in the business of making ship sale and purchase agreements and also in the resolution of disputes arising out of such agreements. The seventh edition of Ship Sale and Purchase contains a detailed clause-by-clause analysis of SHIPSALE 22 the new standard form Memorandum of Agreement for ship sales and purchases published by BIMCO in 2022. This clause-by-clause analysis is supplemented by commentary on the corresponding provisions of the other leading standard forms used in the global shipping markets - SALEFORM 2012 (the latest version of the longstanding standard form produced by the Norwegian Shipbrokers' Association) SINGAPORE SHIP SALE FORM 2011 and NIPPONSALE 1999 - and the main differences between these forms and SHIPSALE 22. This edition of Ship Sale and Purchase also contains a comprehensive description of the many ways in which standard form agreements may be modified through amendments to the printed terms and the use of additional clauses to suit the particular requirements of the parties to individual transactions. In addition it analyses relevant decisions of the English courts and arbitration tribunals and explains the implications of these decisions for ship sale and purchase transactions. The seventh edition also includes commentary on changes in working practices such as the use of electronic signatures the practice of remote closings payment mechanisms and the impact of sanctions and anti-corruption legislation. As with previous editions the seventh edition of Ship Sale and Purchase seeks to provide legal analysis market insight and practical guidance for all those involved in the business of buying and selling second-hand ships.

GBP 460.00
1

Merkin and Flannery on the Arbitration Act 1996

Merkin and Flannery on the Arbitration Act 1996

This book is an essential resource for anybody involved in arbitration. It is an updated section-by-section commentary on the Arbitration Act 1996 split into a separate set of notes for each section and subdivided into the relevant issues within that section. It contains elements of international comparative law citing authorities from many other common law and civil law jurisdictions. Beyond the development of law since the last edition this sixth edition contains new practical features to aid the reader. Each section now has a new contents table with each separate topic set out clearly and in a logical order which acts as reminder for the reader. Further each separate topic now has a specific individual reference and the topics are grouped in a more systematic and logical way within each section to improve readability. The book is primarily aimed at practitioners of arbitration both in the UK and abroad including solicitors barristers arbitrators and judges who are involved in the practice of arbitration (whether domestic or international). It is also aimed at UK and international students of international arbitration especially in relation to the sections with comparative legal analysis and comprehensive discussions on the interaction between the Arbitration Act 1996 and institutional arbitration rules. Erratum: The authors regret that the new version of the LCIA Rules will not now be published (or be applicable) until early 2020 due to unexpected circumstances. It is understood that those Articles referred to in the text as the 2019 Rules will remain unchanged albeit that the Rules when in force should be and will be cited as the 2020 LCIA Rules. The authors accept responsibility for and apologise for this error. | Merkin and Flannery on the Arbitration Act 1996

GBP 450.00
1

Cryptocurrencies and Cryptoassets Regulatory and Legal Issues

Ship Registration: Law and Practice

Adjudication in Construction Law

Arbitration Clauses and Third Parties

FIDIC Red Book A Commentary

Delay and Disruption in Construction Contracts First Supplement

Delay and Disruption in Construction Contracts First Supplement

Delay and disruption in the course of construction impacts upon building projects of any scale. Now in its 5th edition Delay and Disruption in Construction Contracts continues to be the pre-eminent guide to these often complex and potentially costly issues and has been cited by the judiciary as a leading textbook in court decisions worldwide see for example Mirant v Ove Arup [2007] EWHC 918 (TCC) at [122] to [135] per the late His Honour Judge Toulmin CMG QC. Whilst covering the manner in which delay and disruption should be considered at each stage of a construction project from inception to completion and beyond this book includes: An international team of specialist advisory editors namely Francis Barber (insurance) Steve Briggs (time) Wolfgang Breyer (civil law) Joe Castellano (North America) David-John Gibbs (BIM) Wendy MacLaughlin (Pacific Rim) Chris Miers (dispute boards) Rob Palles-Clark (money) and Keith Pickavance Comparative analysis of the law in this field in Australia Canada England and Wales Hong Kong Ireland New Zealand the United States and in civil law jurisdictions Commentary upon and comparison of standard forms from Australia Ireland New Zealand the United Kingdom USA and elsewhere including two major new forms New chapters on adjudication dispute boards and the civil law dynamic Extensive coverage of Building Information Modelling New appendices on the SCL Protocol (Julian Bailey) and the choice of delay analysis methodologies (Nuhu Braimah) Updated case law (to December 2014) linked directly to the principles explained in the text with over 100 helpful Illustrations Bespoke diagrams which are available for digital download and aid explanation of multi-faceted issues This book addresses delay and disruption in a manner which is practical useful and academically rigorous. As such it remains an essential reference for any lawyer dispute resolver project manager architect engineer contractor or academic involved in the construction industry. | Delay and Disruption in Construction Contracts First Supplement

GBP 180.00
1

Handbook for Marine Radio Communication

Handbook for Marine Radio Communication

Now in its seventh edition this bestselling Handbook for Marine Radio Communication provides an incomparable reference source for all vessels using maritime radio communication systems which are now a legislative requirement. It includes exhaustive coverage of all UK and international regulations relating to modern maritime communications such as the crucial GMDSS all contained within one singular volume. This edition has been fully updated to account for recent major developments in the field. The authors deliver an authoritative guide to the complicated and changing world of radio communications including: • Information refl ecting ITU Radio Regulations 2020 • Impending modernisation of the GMDSS • Radical changes to maritime satellite communications and associated distress and safety services • Introduction of VHF data exchange system (VDES) to supplement coastal AIS services • Introduction of navigational data (NAVDAT) to supplement NAVTEX services • Improvements to COSPAS/SARSAT systems • Introduction of AIS facility to EPIRBs • Automatic link establishment (ALE) on HF bands • Updating of global navigation satellite systems (GNSS) • UK explanatory memorandum to the Merchant Shipping (Radiocommunications) (Amendment) Regulations 2021. This is a definitive guide for today’s maritime communications industry including ship owners ship managers coast guards seafarers students of maritime communications as well as the recreational sector.

GBP 180.00
1

Company Directors' Liability and Creditor Protection

The Law and Autonomous Vehicles

The Law of Yachts & Yachting

A Practical Guide to the Insurance Act 2015

Innovative Project Management with FIDIC Contracts

Innovative Project Management with FIDIC Contracts

This book provides comprehensive guidance for the implementation of the legal requirements of FIDIC contracts with a detailed application of modern project management principles. It demonstrates that the FIDIC suites for works and services contain many tools for good project management which can complement the innovation needed today to guide sustainable development. The author’s experience in construction management construction law and the application of FIDIC contracts as a FIDIC engineer a procurement/claims consultant and a FIDIC accredited/certified adjudicator and trainer underpins this unique and much-needed book linking FIDIC contract management with project management practices and concepts. It is structured around project management knowledge areas and details not only the FIDIC works contracts (Red/Yellow/Silver 2017 Reprint 2022 Emerald 2019 Gold 2008 and Green Book 2021) but also the project management requirements of the contract between the Employer and Engineer (White Book 2017) and the FIDIC supply-chain contracts and explains how these all interface in project governance. Linking the project management knowledge areas from the PMBOK® and its Construction Extension with the FIDIC Body of Knowledge (FBOK) the book provides recommendations for integration of best practice and innovations. It illustrates these processes with 54 flowcharts and 16 case studies as well as a railway scenario demonstrating the application of the book’s recommended procedures. This will be an invaluable source of practical guidance for employers contractors and engineers responsible for procuring and managing construction projects. It provides useful insight for technical legal and financial experts on the management of processes contracts and digital tools with recommendations on how to tailor and use the FIDIC contracts for project success. | Innovative Project Management with FIDIC Contracts

GBP 150.00
1

Bank Regulation Risk Management and Compliance Theory Practice and Key Problem Areas

Bank Regulation Risk Management and Compliance Theory Practice and Key Problem Areas

Bank Regulation Risk Management and Compliance is a concise yet comprehensive treatment of the primary areas of US banking regulation – micro-prudential macroprudential financial consumer protection and AML/CFT regulation – and their associated risk management and compliance systems. The book’s focus is the US but its prolific use of standards published by the Basel Committee on Banking Supervision and frequent comparisons with UK and EU versions of US regulation offer a broad perspective on global bank regulation and expectations for internal governance. The book establishes a conceptual framework that helps readers to understand bank regulators’ expectations for the risk management and compliance functions. Informed by the author’s experience at a major credit rating agency in helping to design and implement a ratings compliance system it explains how the banking business model through credit extension and credit intermediation creates the principal risks that regulation is designed to mitigate: credit interest rate market and operational risk and more broadly systemic risk. The book covers in a single volume the four areas of bank regulation and supervision and the associated regulatory expectations and firms’ governance systems. Readers desiring to study the subject in a unified manner have needed to separately consult specialized treatments of their areas of interest resulting in a fragmented grasp of the subject matter. Banking regulation has a cohesive unity due in large part to national authorities’ agreement to follow global standards and to the homogenizing effects of the integrated global financial markets. The book is designed for legal risk and compliance banking professionals; students in law business and other finance-related graduate programs; and finance professionals generally who want a reference book on bank regulation risk management and compliance. It can serve both as a primer for entry-level finance professionals and as a reference guide for seasoned risk and compliance officials senior management and regulators and other policymakers. Although the book’s focus is bank regulation its coverage of corporate governance risk management compliance and management of conflicts of interest in financial institutions has broad application in other financial services sectors. Chapter 6 of this book is freely available as a downloadable Open Access PDF at http://www. taylorfrancis. com under a Creative Commons Attribution-Non Commercial-No Derivatives (CC-BY-NC-ND) 4. 0 license. | Bank Regulation Risk Management and Compliance Theory Practice and Key Problem Areas

GBP 43.99
1