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Institute on Securities Regulation (18th Annual)
Chair(s):
Charles M. Nathan, Harvey L. Pitt, Stephen J. Friedman
Practice Area:
Regulation and compliance (Securities and other financial products),
Securities and other financial products
Published:
Nov 1986
i
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ISBN:
N/A
PLI Item #:
173343
CHB Spine #:
B543, B544
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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. Recent Developments in Tender Offer Regulation; SEC Rulemaking, Legislative Proposals; State Activity, and The Business Judgment Rule
Chapter 2 Vol. 1. Protecting The “Friendly” Acquisition Through Lock-Ups
Chapter 3 Vol. 1. Transnational Acquisitions and Takeovers: Certain Peculiar Problems
Chapter 4 Vol. 1. Developments on The Offense
Chapter 5 Vol. 1. Mergers and Acquisitions: Developments on Defense
Chapter 6 Vol. 1. State Takeover Laws: The Third Generation
Chapter 7 Vol. 1. Tax Policies
Chapter 1 Vol. 2. Directors’ Fiduciary Duties in Corporate Control Contests
Chapter 2 Vol. 2. Indemnification of Directors and Officers, and Limitations on Director Liability
Chapter 3 Vol. 2. Directors’ and Officers’ Insurance: A Status Report
Chapter 4 Vol. 2. Developments Inside The Corporate Boardroom: Functioning without Insurance or Contractual Protection Against Liability
Chapter 5 Vol. 2. Special Problems for The Professional Advisor
Chapter 6 Vol. 2. Soft Information: Counseling on Disclosure
Chapter 7 Vol. 2. Timely Disclosure: Fall 1986
Chapter 8 Vol. 2. The Changing Contours of Insider Trading Liability
Chapter 9 Vol. 2. SEC Enforcement Developments: October 1985 Through September 1986
Chapter 10 Vol. 2. Current Bank Brokerage and Other Securities Activities
Chapter 11 Vol. 2. Bank Compliance Wtih Rule 3b-9: Registration of Brokers
Chapter 12 Vol. 2. Update on Interstate Banking
Chapter 13 Vol. 2. EDGAR (Electronic Data Gathering, Analysis, and Retrieval)
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