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Articles 1 - 29 of 29

Full-Text Articles in Law

Antitrust As A Public-Private Partnership: A Case Study Of The Nasdaq Litigation, Arthur M. Kaplan Jan 2001

Antitrust As A Public-Private Partnership: A Case Study Of The Nasdaq Litigation, Arthur M. Kaplan

Case Western Reserve Law Review

No abstract provided.


Death For Sale: A Call To Regulate The Viatical Settlement Industry, Joy D. Kosiewicz Jan 1998

Death For Sale: A Call To Regulate The Viatical Settlement Industry, Joy D. Kosiewicz

Case Western Reserve Law Review

No abstract provided.


Private Ordering And The Securities Laws: The Case Of General Partnerships, Larry E. Ribstein Jan 1992

Private Ordering And The Securities Laws: The Case Of General Partnerships, Larry E. Ribstein

Case Western Reserve Law Review

No abstract provided.


Rodriguez De Quijas V. Shearson/American Express, Inc. And Lampv, Pleva, Lipkind, Prupis & Petigrow V. Gilvertson: Blurring The Distinctions Between The Securities Acts And Among Securities Claims, Laurie F. Humphrey Jan 1992

Rodriguez De Quijas V. Shearson/American Express, Inc. And Lampv, Pleva, Lipkind, Prupis & Petigrow V. Gilvertson: Blurring The Distinctions Between The Securities Acts And Among Securities Claims, Laurie F. Humphrey

Case Western Reserve Law Review

No abstract provided.


Rationalizing The Disclosure Process: The Summary Annual Report, J. Robert Brown Jr., Stephen M. Detore Jan 1989

Rationalizing The Disclosure Process: The Summary Annual Report, J. Robert Brown Jr., Stephen M. Detore

Case Western Reserve Law Review

No abstract provided.


Section 13(D) Of The Securities Exchange Act: After Touche Ross And Transamerica, Does An Issuing Corporation Have An Implied Private Cause Of Action For Injunctive Relief ?, Edward Winslow Moore Jan 1981

Section 13(D) Of The Securities Exchange Act: After Touche Ross And Transamerica, Does An Issuing Corporation Have An Implied Private Cause Of Action For Injunctive Relief ?, Edward Winslow Moore

Case Western Reserve Law Review

No abstract provided.


Performance-Based Compensation For Investment Advisers To Business Development Companies, David P. Porter Jan 1980

Performance-Based Compensation For Investment Advisers To Business Development Companies, David P. Porter

Case Western Reserve Law Review

No abstract provided.


The Investment Advisers Act Of 1940: Is A General Partner Of A Limited Partnership An Investment Adviser?, C. David Zoba Jan 1979

The Investment Advisers Act Of 1940: Is A General Partner Of A Limited Partnership An Investment Adviser?, C. David Zoba

Case Western Reserve Law Review

No abstract provided.


Nonmonetary Forms Of Remuneration Under The Federal Securities Laws, Robert A. Profusek Jan 1979

Nonmonetary Forms Of Remuneration Under The Federal Securities Laws, Robert A. Profusek

Case Western Reserve Law Review

No abstract provided.


Tender Offer Developments--Introduction, Case Western Reserve University Law Review Jan 1978

Tender Offer Developments--Introduction, Case Western Reserve University Law Review

Case Western Reserve Law Review

No abstract provided.


Towards The Development Of An Implied Right Of Action Under Rule 14a-8 Of The Securities Exchange Act Of 1934, Martha C. Lee Jan 1977

Towards The Development Of An Implied Right Of Action Under Rule 14a-8 Of The Securities Exchange Act Of 1934, Martha C. Lee

Case Western Reserve Law Review

No abstract provided.


Current And Recurrent Section 5 Gun-Jumping Problems, Morton A. Pierce Jan 1976

Current And Recurrent Section 5 Gun-Jumping Problems, Morton A. Pierce

Case Western Reserve Law Review

No abstract provided.


Securities Regulation--Securities Covered--Shares In Cooperative Housing Corporation As Securities Under The Federal Securities Acts, Lawrence G. Mackowiak Jan 1976

Securities Regulation--Securities Covered--Shares In Cooperative Housing Corporation As Securities Under The Federal Securities Acts, Lawrence G. Mackowiak

Case Western Reserve Law Review

No abstract provided.


The Nature And Scope Of The Reliance Requirements In Private Actions Under Sec Rule 10b-5, Timothy J. Kincaid Jan 1973

The Nature And Scope Of The Reliance Requirements In Private Actions Under Sec Rule 10b-5, Timothy J. Kincaid

Case Western Reserve Law Review

No abstract provided.


Truth Up To The Date Of Use As A Requirement For A Section 10(A) Prospectus: The Implications Of Sec V. Manor Nursing Centers, Inc., Mitchell B. Dubick Jan 1973

Truth Up To The Date Of Use As A Requirement For A Section 10(A) Prospectus: The Implications Of Sec V. Manor Nursing Centers, Inc., Mitchell B. Dubick

Case Western Reserve Law Review

No abstract provided.


Tax Deductibility Of Insider Profit Repayments: Resolving An Apparent Conflict, Robert M. Nelson Jan 1973

Tax Deductibility Of Insider Profit Repayments: Resolving An Apparent Conflict, Robert M. Nelson

Case Western Reserve Law Review

No abstract provided.


Prereorganization Negotiations And Securities Act Section 5(C): A Proposed Solution To The Gunjumping Problem, Jeffrey S. Leavitt Jan 1973

Prereorganization Negotiations And Securities Act Section 5(C): A Proposed Solution To The Gunjumping Problem, Jeffrey S. Leavitt

Case Western Reserve Law Review

No abstract provided.


Recent Ruling: Securities Regulation - Margin Requirements - Installment Purchase Of Tax-Sheltered Programs [37 Fed. Reg. 6568(1972)], William G. West Jan 1973

Recent Ruling: Securities Regulation - Margin Requirements - Installment Purchase Of Tax-Sheltered Programs [37 Fed. Reg. 6568(1972)], William G. West

Case Western Reserve Law Review

No abstract provided.


Recent Decisions: Securities Exchange Act Of 1934 - Section 14(A) - Causation [Mills V. Electric Anto-Lete, Co., 396 U.S. 375 (1970)], Robert M. Nelson Jan 1970

Recent Decisions: Securities Exchange Act Of 1934 - Section 14(A) - Causation [Mills V. Electric Anto-Lete, Co., 396 U.S. 375 (1970)], Robert M. Nelson

Case Western Reserve Law Review

No abstract provided.


Implied Rights Under The Securities Exchange Act Of 1934 - Federal Jurisdiction - Exclusive Or Concurrent?, Joel A. Makee Jan 1969

Implied Rights Under The Securities Exchange Act Of 1934 - Federal Jurisdiction - Exclusive Or Concurrent?, Joel A. Makee

Case Western Reserve Law Review

No abstract provided.


Recent Decisions: Securities Exchange Act Of 1934 - Section 16(B) - Corporation Liable As A Director [Feder V. Martin Marietta Corp., 406 F.2d 260 (2d Cir. 1969), Petition For Cert. Filed, 38 U.S.L.W. 3018 (U.S. May 16, 1969) (No. 125)], William B. Lawrence Jan 1969

Recent Decisions: Securities Exchange Act Of 1934 - Section 16(B) - Corporation Liable As A Director [Feder V. Martin Marietta Corp., 406 F.2d 260 (2d Cir. 1969), Petition For Cert. Filed, 38 U.S.L.W. 3018 (U.S. May 16, 1969) (No. 125)], William B. Lawrence

Case Western Reserve Law Review

No abstract provided.


Recent Legislation: Securities Act Of 1933--Rule Modification--The No-Sale Rule And The Privilege To Avoid Registration [Securities Act Rule 133(A), 17 Cfl § 230.133(A). (1968), As Amended, Sec Securities Act Release No. 4892, 33 Fed. Reg. 566 (1968)], David J. Newburger Jan 1968

Recent Legislation: Securities Act Of 1933--Rule Modification--The No-Sale Rule And The Privilege To Avoid Registration [Securities Act Rule 133(A), 17 Cfl § 230.133(A). (1968), As Amended, Sec Securities Act Release No. 4892, 33 Fed. Reg. 566 (1968)], David J. Newburger

Case Western Reserve Law Review

No abstract provided.


Licenses--Sales Of Stock--Withdrawable Capital Shares [Tcherepnin V. Knight, 389 U.S. 332 (1967)], Charles R. Schaefer Jan 1968

Licenses--Sales Of Stock--Withdrawable Capital Shares [Tcherepnin V. Knight, 389 U.S. 332 (1967)], Charles R. Schaefer

Case Western Reserve Law Review

No abstract provided.


Securities Exchange Act Of 1934--Rule 10b-5--Purchasers Of Debentures Denied A Right Of Action Under Section 10(B) [Jordan Building Corp. V. Doyle, O'Connor & Co., [1966-1967 Transfer Binder] Cch Fed. Sec. L. Rep ¶ 91,96 (N.D. Iil. June 28, 1967)], Jan Horbaly Jan 1968

Securities Exchange Act Of 1934--Rule 10b-5--Purchasers Of Debentures Denied A Right Of Action Under Section 10(B) [Jordan Building Corp. V. Doyle, O'Connor & Co., [1966-1967 Transfer Binder] Cch Fed. Sec. L. Rep ¶ 91,96 (N.D. Iil. June 28, 1967)], Jan Horbaly

Case Western Reserve Law Review

No abstract provided.


Securities Exchange Act Of 1934--Insider Trading--Conversion Of Preferred Into Common Stock Held Not A Sale Of The Stock Under Section 16(B) [,I>Blau V. Lamb, 363 F.2d 507 (2d Cir. 1966)], Fred A. Watkins Jan 1967

Securities Exchange Act Of 1934--Insider Trading--Conversion Of Preferred Into Common Stock Held Not A Sale Of The Stock Under Section 16(B) [,I>Blau V. Lamb, 363 F.2d 507 (2d Cir. 1966)], Fred A. Watkins

Case Western Reserve Law Review

No abstract provided.


Two Current Questions Concerning Implied Private Rights Of Action Under The Exchange Act: Authority Of The Administrative Agency To Negate; Existence For Violation Of Self-Regulatory Requirements, Morgan Shipman Jan 1966

Two Current Questions Concerning Implied Private Rights Of Action Under The Exchange Act: Authority Of The Administrative Agency To Negate; Existence For Violation Of Self-Regulatory Requirements, Morgan Shipman

Case Western Reserve Law Review

No abstract provided.


Ohio Securities Act: Powers, Sanctions And Constitutional Objections, Phillip J. Campanella Jan 1966

Ohio Securities Act: Powers, Sanctions And Constitutional Objections, Phillip J. Campanella

Case Western Reserve Law Review

No abstract provided.


Symposium Securities Regulation - Introduction, Manuel F. Cohen Jan 1964

Symposium Securities Regulation - Introduction, Manuel F. Cohen

Case Western Reserve Law Review

No abstract provided.


Analysis Of The Ohio Securities Act, Milton C. Boesel Jr. Jan 1954

Analysis Of The Ohio Securities Act, Milton C. Boesel Jr.

Case Western Reserve Law Review

No abstract provided.