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Securities Law Commons

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Journal

1991

Discipline
Institution
Keyword
Publication

Articles 1 - 18 of 18

Full-Text Articles in Securities Law

The Business Judgment Rule: How Much Board Deliberation Is Enough When A Board Is Under Time Constraints?-Citron V. Fairchild Camera And Instrument Corp., Jeffrey M. Moss Sep 1991

The Business Judgment Rule: How Much Board Deliberation Is Enough When A Board Is Under Time Constraints?-Citron V. Fairchild Camera And Instrument Corp., Jeffrey M. Moss

BYU Law Review

No abstract provided.


Securities Regulation, John L. Latham, Lynn Scott Magruder Jul 1991

Securities Regulation, John L. Latham, Lynn Scott Magruder

Mercer Law Review

This Article reports on significant decisions by the Court of Appeals for the Eleventh Circuit during 1989 and 1990 in the area of securities regulation. This Article also surveys decisions by the United States Supreme Court during the period that affect Eleventh Circuit precedent.


Looking For The Perfect Enforcement Remedy: Old Wine In New Bottles Or: Have I Seen This Movie Before?, James Treadway Jun 1991

Looking For The Perfect Enforcement Remedy: Old Wine In New Bottles Or: Have I Seen This Movie Before?, James Treadway

Washington and Lee Law Review

No abstract provided.


Greenmail, The Control Premium And Shareholder Duty, Roberta S. Karmel Jun 1991

Greenmail, The Control Premium And Shareholder Duty, Roberta S. Karmel

Washington and Lee Law Review

No abstract provided.


Bridging The Gap: Some Thoughts About Interstitial Lawmaking And The Federal Securities Laws, Kevin R. Johnson Jun 1991

Bridging The Gap: Some Thoughts About Interstitial Lawmaking And The Federal Securities Laws, Kevin R. Johnson

Washington and Lee Law Review

No abstract provided.


The Commodity Exchange Monopoly-Reform Is Needed, Jerry W. Markham Jun 1991

The Commodity Exchange Monopoly-Reform Is Needed, Jerry W. Markham

Washington and Lee Law Review

No abstract provided.


The Regulation Of Insider Trading In The European Community, Manning Gilbert Warren Iii Jun 1991

The Regulation Of Insider Trading In The European Community, Manning Gilbert Warren Iii

Washington and Lee Law Review

No abstract provided.


Augmenting Erisa With Market Discipline: Transforming Pension Plan Interests Into Securities, Keir N. Dougall May 1991

Augmenting Erisa With Market Discipline: Transforming Pension Plan Interests Into Securities, Keir N. Dougall

University of Michigan Journal of Law Reform

Part I of this Note provides general background information about pension plans and details the problems that ERISA creates because of its dependence on trust law. Part II canvasses recent problems in pension plan governance that courts and pension plan members have faced in takeover defense and social investment contexts, demonstrating that ERISA's use of trust law cannot respond adequately to these problems. Parts I and II draw on an analysis of ERISA presented by Professors Fischel and Langbein but argue that their proposals for changing ERISA inadequately address the problems they identify. Part III argues that the economic realities …


Liability Under Section 12(2) Of The Securities Act Of 1933 For Fraudulent Trading In Postdistribution Markets, Therese H. Maynard Apr 1991

Liability Under Section 12(2) Of The Securities Act Of 1933 For Fraudulent Trading In Postdistribution Markets, Therese H. Maynard

William & Mary Law Review

No abstract provided.


Vii. Securities Law Mar 1991

Vii. Securities Law

Washington and Lee Law Review

No abstract provided.


Books Received, Law Review Staff Jan 1991

Books Received, Law Review Staff

Vanderbilt Journal of Transnational Law

Books Received

GOOD FAITH IN ENGLISH LAW

By J.F. O'Connor

Brookfield, Vermont: Dartmouth Publishing Company, 1990. Pp. 148.

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LAW AND ISLAM IN THE MIDDLE EAST

Edited by Daisy Hilse Dwyer

New York, New York: Bergin & Garvey, 1990. Pp. 168.

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INTERNATIONAL SECURITIES REGULATION

By Norman S. Poser

Boston, Massachusetts: Little, Brown and Company, 1991. Pp. 799.

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COMPARATIVE CONSTITUTIONAL FEDERALISM

Edited by MarkTushnet

Westport, Connecticut: Greenwood Press, 1990. Pp. 157.

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ECONOMIC SANCTIONS AND U.S. TRADE

By Michael P. Melloy

Boston, Massachusetts: Little, Brown and Company, 1990. Pp. 752.


Ending The Turf Wars: Support For A Cftc/Sec Consolidation, John D. Benson Jan 1991

Ending The Turf Wars: Support For A Cftc/Sec Consolidation, John D. Benson

Villanova Law Review

No abstract provided.


Notes: Securities Law — Uncollateralized Promissory Notes Are Considered "Securities" To Be Regulated Under Federal Securities Laws. Reves V. Ernst & Young, 494 U.S. 56 (1990), Sheryl N. Stephenson Jan 1991

Notes: Securities Law — Uncollateralized Promissory Notes Are Considered "Securities" To Be Regulated Under Federal Securities Laws. Reves V. Ernst & Young, 494 U.S. 56 (1990), Sheryl N. Stephenson

University of Baltimore Law Review

No abstract provided.


Case Digest, Law Review Staff Jan 1991

Case Digest, Law Review Staff

Vanderbilt Journal of Transnational Law

MEDICAL MALPRACTICE ABROAD BY UNITED STATES PHYSICIAN IN CONNECTION WITH DEPARTMENT OF STATE REGULATIONS GOVERNING TORT CLAIMS PROVIDED FOR AN INVESTIGATIVE PROCEDURE FOLLOWED BY AGENCY DECISION--AGENCY FOR INTERNATIONAL DEVELOPMENT HOLDS NO CONSTITUTIONAL OBLIGATIONS TO EVALUATE MEDICAL MALPRACTICE CLAIM ON THE MERITS AND IN ACCORD WITH MINIMAL DUE PROCESS. Tarpeh-Doe v. United States, 904 F.2d719 (D.C. Cir. 1990).

THE FOREIGN CORRUPT PRACTICES ACT DOES NOT CREATE AN IMPLIED PRIVATE RIGHT OF ACTION THAT KENTUCKY TOBACCO GROWERS COULD USE TO RECOVER DAMAGES FROM COMPANIES THAT ALLEGEDLY ENGAGED IN CORRUPT PRACTICES TO THE DETRIMENT OF GROWERS. THE ACT OF STATE DOCTRINE, HOWEVER, DOES …


The Impact Of Technology On The Trading Of Securities: The Emerging Global Market And The Implications For Regulation, 24 J. Marshall L. Rev. 299 (1991), Lewis D. Solomon, Louise Corso Jan 1991

The Impact Of Technology On The Trading Of Securities: The Emerging Global Market And The Implications For Regulation, 24 J. Marshall L. Rev. 299 (1991), Lewis D. Solomon, Louise Corso

UIC Law Review

No abstract provided.


Securities Law Internationalization Of Securities Regulation - Multijurisdictional Disclosure System For Canada And The U.S., Anna T. Drummond Jan 1991

Securities Law Internationalization Of Securities Regulation - Multijurisdictional Disclosure System For Canada And The U.S., Anna T. Drummond

Villanova Law Review

No abstract provided.


Recent Initiatives In International Financial Regulation And Goals Of Competitiveness, Effectiveness, Consistency And Cooperation, Joel P. Trachtman Jan 1991

Recent Initiatives In International Financial Regulation And Goals Of Competitiveness, Effectiveness, Consistency And Cooperation, Joel P. Trachtman

Northwestern Journal of International Law & Business

The purpose of this examination is first, to review the basis for and method of applying U.S. regulation in these functional areas to offshore activities of U.S. persons and to both U.S. and offshore activities of foreign persons, and to understand the differences in approach taken by the Board of Governors of the Federal Reserve System (the Board) and the Securities and Exchange Commission (the Commission) in interpreting the reach of prescriptive jurisdiction under the Bank Holding Company Act of 1956 (the BHC Act), the Securities Act of 1933 (the Securities Act) and the Securities Exchange Act of 1934 (the …


Securities: Is "Any Note" Really A "Security"? Supreme Court Says "No" In Reves, John Scribner Jan 1991

Securities: Is "Any Note" Really A "Security"? Supreme Court Says "No" In Reves, John Scribner

Oklahoma Law Review

No abstract provided.