Postgraduate Course in Federal Securities Law: ALI-ABA Course of Study Materials, Volume 1
American Law Institute-American Bar Association Committee on Continuing Professional Education, 2001 - Securities
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Bank Securities Activities after the GrammLeachBliley Act
Five Years of Practice and Procedure Under the Private Securities
20 other sections not shown
accounting accredited investors alleged audit committee auditors bank broker broker-dealer Cendant Chubb Securities citation omitted Class Period CM CM CM CN CN Commission company counsel company's complaint Corp corporate dealer defendants directors disclose disclosure drafting due diligence Exchange Act exemption false Federal fiduciary filed financial statements forward-looking statements GAAP GLBA inference of scienter insider trading issue issuer lead plaintiff Learning Tree letter LEXIS liability LTI's million misleading motive and opportunity N.D. Cal NASD Nasdaq NYSE officer pleading scienter Power Seminars private placement PSLRA public offering purchase Reform Act Litig registration statement Release reports revenue Rule safe harbor Second Circuit Section Securities Act securities analysts securities class actions securities fraud Securities Law settlement shareholders shares Silicon Graphics solicitation standard stockholders strong inference Supp trading transactions U.S. Dist underwriters