Securities Regulation
Released: Dec 31, 1995
Publisher: Little Brown & Co Law & Business
Format: Hardcover, 11 pages
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Description:
This casebook provides the tools for the study of the law of securities regulation. This edition has been extensively revised and reorganized. Topics covered include the Sarbanes-Oxley Act, the competitiveness of the U.S. capital markets, and the affect of globalization on the world's security markets. It includes a new chapter on shareholder voting and updated coverage of SEC enforcement actions and criminal liability, as well as state securities law, international issues, and the regulation of investment companies.
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