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Institute on Securities Regulation (20th Annual)
Chair(s):
Charles M. Nathan, Harvey L. Pitt, Stephen R. Volk
Practice Area:
Banking and finance,
Corporate law,
Securities and other financial products
Published:
Nov 1988
i
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ISBN:
N/A
PLI Item #:
173169
CHB Spine #:
B619, B620
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Table of Contents
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Front Matter
Table of Contents to Volume 1
Table of Contents to Volume 2
Chapter 1 Vol. 1. Market Reform Proposals and Actions
Chapter 2 Vol. 1. The October 1987 Market Crash
Chapter 3 Vol. 1. Issues Raised by International and Multinational Securities Offerings
Chapter 4 Vol. 1. Recent Securities Law Developments affecting Market Internationalization
Chapter 5 Vol. 1. Recent SEC Enforcement Developments
Chapter 6 Vol. 1. Current Legal Developments affecting Insider Trading Litigation—1987-1988
Chapter 7 Vol. 1. Insider Trading Law: Basic Principles and New Developments
Chapter 8 Vol. 1. Back to Basics: Current Disclosure Issues and Changing Concepts of Materiality after Basic v. Levinson
Chapter 9 Vol. 1. Current Accounting Issues
Chapter 10 Vol. 1. The Business Judgment Rule in Shareholder Derivative and Takeover Litigation
Chapter 1 Vol. 2. Recent Developments in Tender Offer Regulation
Chapter 2 Vol. 2. Leveraged Transactions as Offensive and Defensive Weapons in Corporate Control Contests
Chapter 3 Vol. 2. Leveraged Dealmaking as An Offensive and Defensive Tool
Chapter 4 Vol. 2. Developments in The Law of Mergers and Acquisitions: Cross-Border Transactions
Chapter 5 Vol. 2. Uses and Abuses of Proxy Contests
Chapter 6 Vol. 2. Proxy Contests: Advance Planning in Corporate Governance and Control Situations
Chapter 7 Vol. 2. Poison Pills
Chapter 8 Vol. 2. State Takeover Statutes: Renaissance or Plague
Chapter 9 Vol. 2. Auctions: Companies in Play, and At Work
Chapter 10 Vol. 2. Recent Court Decisions concerning Bank Securities Activities
Chapter 11 Vol. 2. Defending against Hostile Bank Takeovers
Chapter 12 Vol. 2. Legislative Developments in The 100th Congress
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