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Securities Litigation 1994
Chair(s):
Bruce G. Vanyo, Edward J. Yodowitz
Practice Area:
Corporate law,
Securities and other financial products
Published:
Oct 1994
i
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ISBN:
0872241513
PLI Item #:
208587
CHB Spine #:
H509
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Table of Contents
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Front Matter
Table of Contents
Chapter 1. TRIAL AND PREPARATION OF A SECURITIES CLASS ACTION FRAUD CASE FROM A PLAINTIFF'S STANDPOINT
Chapter 2. DEFENDING SECONDARY ACTORS IN 10B-5 LITIGATION AFTER CENTRAL BANK OF DENVER
Chapter 3. THE SEC'S ENFORCEMENT PROGRAM UNDER THE SECURITIES ENFORCEMENT REMEDIES AND PENNY STOCK REFORM ACT OF 1990
Chapter 4. PRIVITY UPDATE
Chapter 5. CIVIL LIABILITY UNDER SECTION 10(B) FOR AIDING AND ABETTING CENTRAL BANK OF DENVER
Chapter 6. RULE 10B-5 TORT REFORM
Chapter 7. ANTICIPATING, AVOIDING, AND DEFENDING SECURITIES CLASS ACTIONS INVOLVING LIFE SCIENCES COMPANIES
Chapter 8. SELECTED CASES ON DIRECTORS' AND OFFICERS' LIABILITY INSURANCE LAW
Chapter 9. 1994 UPDATE: ISSUES IN DIRECTOR AND OFFICER LIABILITY INSURANCE
Chapter 10. INTERNAL CORPORATE INVESTIGATIONS
Chapter 11. CORPORATE INVESTIGATIONS
Chapter 12. SECURITIES LITIGATION 1994 INSIDER TRADING: THEORIES OF LIABILITY AND RECENT DEVELOPMENTS
Chapter 13. INSIDER TRADING: SELECTED ISSUES AND AN ANALYSIS OF INSIDER STOCK SALES IN RULE 10B-5 DISCLOSURE CASES
Chapter 14. SECURITIES LITIGATION: JOINT AND SEVERAL LIABILITY AND CONTRIBUTION
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