Banking, Financial Regulation & Risk

2026

Selected Titles Catalogue

New and Recent Publications

About This Catalogue

This catalogue presents twenty-seven selected titles on banking law, financial regulation, systemic risk, and ESG banking, curated for university libraries, law firms, banks, and advisory practices worldwide. All prices include worldwide shipping via international courier.

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Areas Covered

Banking & Financial Regulation • Systemic Risk & Financial Stability • ESG & Sustainable Banking • International Sanctions & Economic Law • Monetary Policy & Currency • Securitisation & Derivatives Law • AML, Financial Crime & Cybersecurity • Audit & Risk Governance • EU Securities Law • Energy & Sport Finance


New Titles — 2026

BANKING CONDUCT

Conduct and Accountability in Financial Services, 2nd ed.

Stacey English, Susannah Hammond

Bloomsbury Professional | 2026 | Paperback | ISBN 9781526529060

Now in its 2nd edition, a practical SM&CR compliance guide fully updated for FSMA 2023, the Consumer Duty, and the growing regulatory focus on cryptoassets and AML/sanctions.

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ESG & BANKING

ESG Risk Management in Banking

Patrycja Chodnicka-Jaworska, Annalisa Ferrari

Routledge | 2026 | Hardcover | ISBN 9781041353294

Gives banking risk teams working tools to calculate ESG risk and relate it directly to bank capital requirements, backed by evidence on how ESG exposure actually moves stock, bond and credit pricing.

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BANKING LAW

The Law Relating to International Banking and Capital Markets, 3rd ed.

Andrew Haynes

Bloomsbury Professional | July 2026 | Paperback | ISBN 9781526527042

Ties the commercial mechanics of cross-border lending directly to governing law, jurisdiction and sovereign risk, now expanded with new coverage of blockchain and cryptoassets.

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MONETARY ECONOMICS

Currency Hierarchy and Financial Globalisation

Luiz Fernando de Paula, Barbara Fritz, Daniela Magalhães Prates

Edward Elgar Publishing | 2026 | Hardcover | ISBN 9781035328826

Examines why some currencies enjoy liquidity premia while others carry a persistent risk premium, and what that hierarchy means for policy space in emerging economies amid de-dollarisation debates.

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FINANCIAL MARKETS

Navigating the Future of Finance: Market Trends and Turbulence

Ranjan Chaudhuri, Navita Nathani, Vijay Prakash Gupta, Dipak Saha (Eds.)

Routledge | June 2026 | Hardcover | ISBN 9781041145318

Twenty chapters tracing how AI, blockchain, digital currencies and ESG are reshaping financial markets and bank resilience, with particular depth on the Indian financial system.

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SPORT FINANCE

Financial Management in the Sport Industry, 4th ed.

Matthew T. Brown, Daniel A. Rascher, Mark S. Nagel, Chad D. McEvoy

Routledge | May 2026 | Hardcover | ISBN 9781032765112

The leading textbook on sport finance from the practitioner's perspective, now expanded with women's sport finance, private equity and crowdfunding, and esports economics.

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SUSTAINABLE BANKING

Strategic Risk Management and Sustainable Banking

Jason Crawford, Fredrik Nilsson

Routledge | 2026 | Hardcover | ISBN 9781041025689

An empirically grounded case study of how a major European bank is restructuring strategic risk management for ESG integration, timely as the EU's CSRD/CSDDD reforms take hold.

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SANCTIONS REFERENCE

Elgar Encyclopedia of International Sanctions

Clara Portela, Andrea Charron, Mirko Sossai (Eds.)

Edward Elgar Publishing | November 2025 | Hardback | ISBN 9781035339525

Over 70 entries covering sanctions senders, measures, episodes and enforcement frameworks — the first encyclopaedic reference dedicated exclusively to international sanctions.

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ECON LAW HANDBOOK

Routledge Handbook on International Economic Law

Valentina Vadi, David Collins (Eds.)

Routledge | October 2025 | Hardback | ISBN 9781032507972

A five-part, 40+ chapter reference spanning trade, investment and financial law, with dedicated analysis of tensions between economic liberalisation and environmental and human rights law.

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SYSTEMIC RISK

Financial Instability and Systemic Risk

Jagoda Kaszowska-Mojsa

Routledge | May 2026 | Hardback | ISBN 9781041260271

Shows how agent-based modelling can capture the endogenous, unpredictable dynamics that amplify financial crises, with a practical guide to building data-driven models for macroprudential analysis.

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DIGITAL RISK

Futurisks: Risk Management in the Digital Age

Halis Kıral, Gökhan Yılmaz (Eds.)

Springer Singapore | June 2025 | Hardcover | ISBN 9789819664474

Connects enterprise risk, cyber threats, ESG, AI, blockchain and financial crime in one volume, mapping how digital transformation is reshaping the risk landscape.

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GLOBAL FINANCE

Our Dollar, Your Problem

Kenneth Rogoff

Yale University Press | May 2025 | Hardback | ISBN 9780300275315

Kenneth Rogoff's insider account of the dollar's postwar dominance and why its future stability is far from assured, given crypto, the yuan, and political instability.

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ENERGY FINANCE

Renewable Energy Finance: Theory and Practice, 2nd ed.

Santosh Raikar, Seabron Adamson

Academic Press | October 2024 | Paperback | ISBN 9780443159558

A comprehensive guide to structuring, funding and implementing renewable energy projects, now with new chapters on clean-energy technology risk and green hydrogen financing.

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FINANCIAL CRIME

Financial Investigation and Financial Intelligence

Craig Hughes, David Hicks

Routledge | 2025 | Hardcover | ISBN 9781032572710

Introduces the 'financial footprint' approach to financial investigation, moving beyond simple asset recovery to a wider evidence-gathering skill set for the digital and cryptocurrency era.

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AUDIT LEADERSHIP

Global Audit Leadership

Audley L. Bell

CRC Press | August 2024 | Hardback | ISBN 9781032075358

Drawing on 27 years leading internal audit functions across seven organisations, practical guidance for Chief Audit Executives navigating change in a global internal audit function.

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INFLATION HISTORY

The Resurgence of Inflation

Michael Heine, Hansjörg Herr

Springer | 2024 | Hardback | ISBN 9783031527395

Draws lessons from the German hyperinflation and the 1970s inflationary waves to assess how wage policy can stabilise prices amid today's diverse and extreme economic shocks.

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ESG DERIVATIVES

The Law of ESG Derivatives

Ligia Catherine Arias-Barrera

Routledge | July 2024 | Hardback | ISBN 9781032429953

Analyses how ESG derivatives can serve as strategic tools for sustainable investment, addressing market failures in sustainable finance regulation across the EU, UK and US.

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SECURITISATION LAW

The Law of Securitisations: From Crisis to Techno-Sustainability

Pierre de Gioia Carabellese, Camilla Della Giustina

Routledge | March 2023 | Hardback | ISBN 9780367262488

A full account of the EU's securitisation legal framework since the 2007/2008 crisis, examining originators, SPVs and credit rating agencies alongside emerging ESG and technology challenges.

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MONETARY LAW

International Monetary and Banking Law Post COVID-19

William Blair, Christos Gortsos, Chiara Zilioli (Eds.)

Oxford University Press | May 2023 | Hardback | ISBN 9780192869753

Written by members of the International Law Association's monetary law committee, reviewing how the pandemic reshaped central banking, digital money and unconventional monetary policy.

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CROSS-BORDER REG

Equivalence and Substituted Compliance in Financial Markets Law

Jonas Schurger

Oxford University Press | May 2023 | Hardback | ISBN 9780198876748

Examines equivalence and substituted-compliance mechanisms across the EU, Switzerland and the US as a viable answer to growing regulatory fragmentation in global financial markets.

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EU SECURITIES LAW

EU Securities and Financial Markets Regulation, 4th ed.

Niamh Moloney

Oxford University Press | April 2023 | Hardback | ISBN 9780198844877

The standard critical account of the EU financial markets rulebook, updated for the Capital Markets Union agenda, Brexit, and ESMA's expanded supervisory role.

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AML / CYBERSECURITY

Anti-Money Laundering, Counter Financing Terrorism and Cybersecurity in Banking

Felix I. Lessambo

Palgrave Macmillan | February 2023 | Hardback | ISBN 9783031234835

Compares AML/CFT and cybersecurity regulatory approaches across the US, EU and 18 individual G-20 states.

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NEW · INSURANCE REGULATION

Solvency II: Present and Future

Karel Van Hulle, Helmut Gründl, Mirko Kraft (eds.)

Oxford University Press | July 2026 | Hardcover | ISBN 9780198927617

Expert-edited analysis of the EU's risk-based solvency regime for insurers, covering the finalised Solvency II Review reforms taking effect January 2027 and comparisons with IFRS 17 and Solvency UK.

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NEW · G20 BANKING & INVESTMENT LAW

The Principles of International Banking, Finance and Investment Law: Global Best Practices from the G20

Fatih Buğra Erdem

Springer | August 2026 | Hardcover | ISBN 9783032325044

A comparative account of banking, finance and investment law across G20 economies, from bank licensing and governance through to digital and cryptoasset regulation, published as G20 finance ministers close out the Asheville finance-track meetings.

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NEW · GLOBAL FINANCIAL MARKETS

The Dynamics of Global Financial Markets: Risk, Regulation, and Innovation

Renata Karkowska

Routledge | August 2026 | Hardcover | ISBN 9781041253631

Connects systemic risk, regulatory change, and geopolitical and climate-related shocks with the transformative influence of digital assets, blockchain, and AI in one globally-informed framework — essential reading for regulators, risk teams, and researchers.

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NEW · AML REGULATION

The EU Anti-Money Laundering Directive and Regulation: A Commentary

Georgios Pavlidis

Edward Elgar Publishing | August 2026 | Hardcover | ISBN 9781035347094

Article-by-article commentary on the EU's new single AML rulebook, tracking the European Anti-Money Laundering Authority's build-out of supervisory practice through 2026-2028. Written for compliance officers, regulators and financial crime counsel navigating the shift from national transposition to direct EU-level enforcement.

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NEW · SOVEREIGN DEBT

Sovereign Debt: Genesis, Restructuring, Litigation, 2nd ed.

Mauro Megliani

Springer | August 2026 | Hardcover | ISBN 9783032149862

A second edition tracing sovereign debt from its historical origins through the mechanics of modern restructuring and cross-border litigation, updated for recent holdout creditor disputes and collective action clause reform. Essential grounding for practitioners and academics following sovereign default cases before international tribunals.

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About CLNZ Books

CLNZ Books is a specialist online bookstore headquartered in Auckland, New Zealand, serving professionals and institutions worldwide. We focus on academic, legal, and professional titles across Law, Economics, Energy, and Medicine. All prices include worldwide delivery via international courier. Bookseller for Professionals Worldwide.

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