1. Andenas M (2000) Liability for supervisors and depositors‘rights—BCCI and the Bank of England in the House of Lords. Eur Bank Financ Law J (Euredia) 3:388–409
2. Assmann H-D (2011) Das Verhältnis von Aufsichtsrecht und Zivilrecht im Kapitalmarktrecht. In: Burgard U, Hadding W, Mülbert P, Nietsch M, Welter R (eds) Festschrift for U.H. Schneider. Otto Schmidt, Cologne, pp 37–55
3. Avgerinos Y (2003) Regulating and supervising investment services in the European Union. Palgrave Macmillan, Basingstoke and New York
4. Babis V (2014) Single rulebook for prudential regulation of banks: mission accomplished? University of Cambridge Working Paper 37, http://papers.ssrn.com/sol3/papers.cfm?abstract_id=2456642 . Accessed 22 Apr 2015
5. Barav A (1974) Direct and individual concern: an almost insurmountable barrier to the admissibility of individual appeal to the EEC Court. Common Market Law Rev 11:191–198