AuthorLoss, Louis
TitleSecurities regulation / Louis Loss, Joel Seligman
Imprint New York, NY : Aspen Law & Business, c1989-
Edition 3rd ed
Descript v. ; 25 cm

CONTENT

V.1 Background of the sec statutes -- Federal regulation of the distribution of securities -- V.2,3 Coverage of the securities Act of 1933: definitions and exemptions -- V.4 Protective committee reform: the trust indenture Act of 1939 and sec functions under the bankruptcy code -- "Control" concepts under the sec statutes -- Registration and postregistration provisions of the 1934 Act -- V.5 Regulation of the securities markets -- V.6 Regulation of brokers, dealers, and investment advisers -- V.7 Fraud -- V.8 Manipulation -- V.9 Civil liability -- V.10 Government litigation -- Sec administrative law -- Conflict of laws procedural aspects and "globalization" -- V.10 Complete table of contents, volume I-XI -- Table of cases -- Table of no-action and interpretative letters -- Talbe of sec release -- Table of statutory citations -- Table of rule citations -- Table of regulation S-k item citatins -- Table of form citations


SUBJECT

  1. Securities -- United States

LOCATIONCALL#STATUS
Law Library : Reference Collection (3rd Floor)K/US.610 L62s 1988 LIB USE ONLY
Law Library : Reference Collection (3rd Floor)K/US.610 L62s 1999 LIB USE ONLY
Law Library : Reference Collection (3rd Floor)K/US.610 L62s 1999 LIB USE ONLY
Law Library : Reference Collection (3rd Floor)K/US.610 L62s 1990 LIB USE ONLY
Law Library : Reference Collection (3rd Floor)K/US.610 L62s 1990 LIB USE ONLY
Law Library : Reference Collection (3rd Floor)K/US.610 L62s 1990 LIB USE ONLY
Law Library : Reference Collection (3rd Floor)K/US.610 L62s 1991 LIB USE ONLY
Law Library : Reference Collection (3rd Floor)K/US.610 L62s 1991 LIB USE ONLY
Law Library : Reference Collection (3rd Floor)K/US.610 L62s 1992 LIB USE ONLY
Law Library : Reference Collection (3rd Floor)K/US.610 L62s 1996 LIB USE ONLY