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Articles 1 - 4 of 4
Full-Text Articles in Law
Regulation Of Variable Life Insurance, Tamar Frankel
Regulation Of Variable Life Insurance, Tamar Frankel
Faculty Scholarship
On November 29, 1971 the American Life Convention and Life Insurance Association of America filed a petition with the Securities and Exchange Commission (SEC) to exempt certain variable life insurance policies and separate accounts funding them from the provisions of the federal securities acts.1 The petition had been preceded by informal negotiations by the insurance industry for a decision by the SEC "not to assert jurisdiction" over such policies and accounts.2 The Commission's staff declined to recommend primarily because the staff felt that other interested parties ought to be heard before a determination was made which might adversely …
Prospectus Liability For Failure To Disclose Post-Effective Developments: A New Duty And Its Implications, Jon S. Readnour
Prospectus Liability For Failure To Disclose Post-Effective Developments: A New Duty And Its Implications, Jon S. Readnour
Indiana Law Journal
No abstract provided.
Federal Business Law And The Indiana Lawyer: The Impact Of The Securities Law On The General Practitioner, Theodore R. Boehm
Federal Business Law And The Indiana Lawyer: The Impact Of The Securities Law On The General Practitioner, Theodore R. Boehm
Indiana Law Journal
No abstract provided.
Restraints On Incumbent Directors In Intracorporate Battles For Control, Aaron Yoran
Restraints On Incumbent Directors In Intracorporate Battles For Control, Aaron Yoran
University of Richmond Law Review
Editor's Note: The first portion of Dr. Yoran's article, dealing with directors' maneuvering power in closed corporations, appeared in the Winter issue of the Review.