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Securities Regulation Institute (17th Annual)
Practice Area:
Banking, Corporate & Securities
Published:
Oct 1985
ISBN:
N/A
PLI Item #:
173412
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Front Matter
Table of Contents
ACCOUNTANT'S LIABILITY, AND CERTAIN COUNSELLING CONSIDERATIONS IN SEC INVESTIGATIONS
BANK-SPONSORED COLLECTIVE INVESTMENT TRUSTS FOR INDIVIDUAL RETIREMENT ACCOUNTS
BANKRUPTCY, REGULATORY, AND ACCOUNTING ISSUES AFFECTING COLLATERAL-BACKED SECURITIES
CHANGING CONCEPTS IN SECURITIES FRAUD
COUNSELLING UNDER THE BUSINESS JUDGMENT RULE
FINANCIAL STATEMENT FRAUD AND AUDITOR LIABILITY
HOSTILE TAKEOVERS AND THE EVER-NARROWING (EXPANDING) BUSINESS JUDGMENT RULE
INTERSTATE BANKING IN THE 1980's: SUPREME COURT DOCKET AND CONGRESSIONAL AGENDA
MERGERS AND ACQUISITIONS: DEVELOPMENTS IN DEFENSIVE TACTICS - 1985
MERGERS AND ACQUISITIONS: SELECTED FIDUCIARY DUTY AND CONFLICT OF INTEREST ISSUES
RE-EMERGENCE OF STATE TAKEOVER STATUTES
RECENT COMMISSION ENFORCEMENT ACTIVITY INVOLVING TENDER OFFERS
RECENT DEVELOPMENTS: BANK POWERS TO ENGAGE IN COMMERCIAL PAPER PLACEMENT, AND UNDERWRITE CERTAIN SECURITIES
RECENT DEVELOPMENTS IN BATTLES FOR CORPORATE CONTROL: THE BUSINESS JUDGMENT RULE, AND EXCHANGE ACT SECTION 14(e)
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