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Securities Law Commons

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1982

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Institution
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Articles 1 - 30 of 49

Full-Text Articles in Securities Law

Expanded View Of Section 12(2) Liability: Junker V. Crory, Richard C. Taggart Nov 1982

Expanded View Of Section 12(2) Liability: Junker V. Crory, Richard C. Taggart

BYU Law Review

No abstract provided.


Dirks V. Securities And Exchange Commission, Lewis F. Powell Jr. Oct 1982

Dirks V. Securities And Exchange Commission, Lewis F. Powell Jr.

Supreme Court Case Files

No abstract provided.


Herman & Mclean V. Huddleston, Lewis F. Powell Jr. Oct 1982

Herman & Mclean V. Huddleston, Lewis F. Powell Jr.

Supreme Court Case Files

No abstract provided.


The Taxation Of Reinvested Corporate Earnings, Richard L. Doernberg Oct 1982

The Taxation Of Reinvested Corporate Earnings, Richard L. Doernberg

William & Mary Law Review

No abstract provided.


Regulation D: Coherent Exemptions For Small Businesses Under The Securities Act Of 1933, Marvin R. Mohney Oct 1982

Regulation D: Coherent Exemptions For Small Businesses Under The Securities Act Of 1933, Marvin R. Mohney

William & Mary Law Review

No abstract provided.


Lawyer Duties In Securities Transactions Under Rule 2(E): The Carter Opinions, David H. Barber Sep 1982

Lawyer Duties In Securities Transactions Under Rule 2(E): The Carter Opinions, David H. Barber

BYU Law Review

No abstract provided.


Standard Of Proof In Sec Actions For Injunctive Relief In Securities Fraud Cases: S.E.C. V. First Financial Group Texas, Sheree S. Ung Sep 1982

Standard Of Proof In Sec Actions For Injunctive Relief In Securities Fraud Cases: S.E.C. V. First Financial Group Texas, Sheree S. Ung

Boston College Law Review

No abstract provided.


A Proposed West Virginia Response To The Initiative Of Regulation D, James A. Russell Jr. Sep 1982

A Proposed West Virginia Response To The Initiative Of Regulation D, James A. Russell Jr.

West Virginia Law Review

No abstract provided.


The Foreign Corrupt Practices Act Of 1977: An Analysis Of Its Impact And Uncertain Future, Mark Romaneski Aug 1982

The Foreign Corrupt Practices Act Of 1977: An Analysis Of Its Impact And Uncertain Future, Mark Romaneski

Boston College International and Comparative Law Review

No abstract provided.


The Fallacy Of Weighting Asset Value And Earnings Value In The Appraisal Of Corporate Stock, Elmer J. Schaefer Jul 1982

The Fallacy Of Weighting Asset Value And Earnings Value In The Appraisal Of Corporate Stock, Elmer J. Schaefer

Faculty Publications

No abstract provided.


Private Meetings And Good Cause Exceptions: Gulf & Western May Provide The Sec New Tools For Piercing The Corporate Attorney-Client Privilege Jun 1982

Private Meetings And Good Cause Exceptions: Gulf & Western May Provide The Sec New Tools For Piercing The Corporate Attorney-Client Privilege

Washington and Lee Law Review

No abstract provided.


The Commodity Exchange Act In Perspective A Short And Not-So-Reverent History Of Futures Trading Legislation In The United States, John H. Stassen Jun 1982

The Commodity Exchange Act In Perspective A Short And Not-So-Reverent History Of Futures Trading Legislation In The United States, John H. Stassen

Washington and Lee Law Review

No abstract provided.


Statutes Of Limitation For Rule 10b-5 Jun 1982

Statutes Of Limitation For Rule 10b-5

Washington and Lee Law Review

No abstract provided.


Implied Private Rights Of Action Under Section 6(B) Of The Securities Exchange Act Of 1934 Jun 1982

Implied Private Rights Of Action Under Section 6(B) Of The Securities Exchange Act Of 1934

Washington and Lee Law Review

No abstract provided.


Preface, Philip Mcbride Johnson Jun 1982

Preface, Philip Mcbride Johnson

Washington and Lee Law Review

No abstract provided.


Developments In Corporate Takeover Techniques: Creeping Tender Offers, Lockup Arrangements, And Standstill Agreements Jun 1982

Developments In Corporate Takeover Techniques: Creeping Tender Offers, Lockup Arrangements, And Standstill Agreements

Washington and Lee Law Review

No abstract provided.


Corporate Insider Trading: Reawakening The Common Law, Thomas Lee Hazen Jun 1982

Corporate Insider Trading: Reawakening The Common Law, Thomas Lee Hazen

Washington and Lee Law Review

No abstract provided.


Rule 10b-5 And "Fraud-On-The-Market"- -Heavy Seas Meet Tranquil Shores, Robert N. Rapp Jun 1982

Rule 10b-5 And "Fraud-On-The-Market"- -Heavy Seas Meet Tranquil Shores, Robert N. Rapp

Washington and Lee Law Review

No abstract provided.


More About Blue Sky, Richard B. Tyler Jun 1982

More About Blue Sky, Richard B. Tyler

Washington and Lee Law Review

No abstract provided.


The Sec's Version Of The Efficient Market Theory And Its Impact On Securities Law Liabilities, Marvin G. Pickholz, Edward B. Horahan Iii Jun 1982

The Sec's Version Of The Efficient Market Theory And Its Impact On Securities Law Liabilities, Marvin G. Pickholz, Edward B. Horahan Iii

Washington and Lee Law Review

No abstract provided.


Rule 10b-5 Developments-Theories Of Liability Jun 1982

Rule 10b-5 Developments-Theories Of Liability

Washington and Lee Law Review

No abstract provided.


Rule 10b-5 Developments-Damages And Contribution Jun 1982

Rule 10b-5 Developments-Damages And Contribution

Washington and Lee Law Review

No abstract provided.


The Right To Financial Privacy Act And The Sec Jun 1982

The Right To Financial Privacy Act And The Sec

Washington and Lee Law Review

No abstract provided.


When Is A Security Not A Security? Promissory Notes, Loan Participations, And Stock In Close Corporations Jun 1982

When Is A Security Not A Security? Promissory Notes, Loan Participations, And Stock In Close Corporations

Washington and Lee Law Review

No abstract provided.


The Existence Of Implied Private Rights Of Action Under Section 17(A) Of The 1933 Securities Act Jun 1982

The Existence Of Implied Private Rights Of Action Under Section 17(A) Of The 1933 Securities Act

Washington and Lee Law Review

No abstract provided.


The Element Of Scienter In Antifraud Provisions Of The Commodity Exchange Act Jun 1982

The Element Of Scienter In Antifraud Provisions Of The Commodity Exchange Act

Washington and Lee Law Review

No abstract provided.


Second Circuit Expands Section 10(B) Liability To Security Fraud Committed In Breach Of An Employee's Fiduciary Duty: United States V. Newman, Charles Lee Deem May 1982

Second Circuit Expands Section 10(B) Liability To Security Fraud Committed In Breach Of An Employee's Fiduciary Duty: United States V. Newman, Charles Lee Deem

BYU Law Review

No abstract provided.


New Protection For Defrauded Pledges Of Securities Under The Federal Securities Laws: Rubin V. United States, Albert Andrew Notini May 1982

New Protection For Defrauded Pledges Of Securities Under The Federal Securities Laws: Rubin V. United States, Albert Andrew Notini

Boston College Law Review

No abstract provided.


Loan Participations: Are They "Securities"?, Dennis Scholl, Ronald L. Weaver Apr 1982

Loan Participations: Are They "Securities"?, Dennis Scholl, Ronald L. Weaver

Florida State University Law Review

No abstract provided.


The Effect Of Insider Trading Rules On The Internal Efficiency Of The Large Corporation, Robert J. Haft Apr 1982

The Effect Of Insider Trading Rules On The Internal Efficiency Of The Large Corporation, Robert J. Haft

Michigan Law Review

Academics have hotly debated these justifications for years, and none of the three has achieved universal acclaim. This Article suggests another perspective: Prohibiting insider trading may enhance business decision-making in large corporations. With the exception of proponents of the Business Property view, analysts have focused on how an insider trading rule affects the national securities markets and traders in those markets. The internal governance of the large corporation is a different matter, one deserving separate consideration.