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The second edition of this manual, originally published in 2005, updates principles that help guide investors and shareowners in evaluating and monitoring corporate governance practices and their associated risks. Investors often have difficulty determining which governance issues may affect an investment’s value, what governance information to look for, and how and where to find it. The Corporate Governance Manual addresses these challenges in detail for three broad areas of governance: The board, management, and shareowner rights. Within each category, the manual offers particular, practical guidance on specific issues without creating another set of governance best practices or advocating for one governance system over any others. The Manual also offers access to corporate codes around the world and an extensive listing of academic and investor research on corporate governance through the years. Vist the Centre’s web site for further governance resources.
Topical Index Keywords
Corporate Governance
Ethics and Professional Standards
Risk Measurement and Management
Advocacy, Regulatory, and Legislative Issues
Financial MarketsAuthor Information
Kurt Schacht, CFA, Managing Director, CFA Institute Centre for Financial Market Integrity
James C. Allen, CFA, Head, Capital Markets Policy Group, CFA Institute Centre for Financial Market Integrity
Matthew Orsagh, CFA, CIPM, Director, Capital Markets Policy, CFA Institute Centre for Financial Market Integrity
The Compensation of Senior Executives at Listed Companies: A Manual for Investors |
Asset Manager Code of Professional Conduct, Second Edition |
Shareowner Rights across the Markets: A Manual for Investors |
Standards of Practice Handbook, Ninth Edition |






Abstract
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The Compensation of Senior Executives at Listed Companies: A Manual for Investors