Institute on Securities Regulation (19th Annual) Front Matter Table of Contents to Volume 1 Table of Contents to Volume 2 Chapter 1 Vol. 1. Status of The Law on Insider Trading Chapter 2 Vol. 1. Liability for Insider Trading under The Federal Securities Laws Chapter 3 Vol. 1. Recent SEC Enforcement Developments: Insider Trading Cases Chapter 4 Vol. 1. Significant Federal Non-Insider Trading Criminal Securities Prosecutions in 1986 and 1987 Chapter 5 Vol. 1. Practical Perspectives on Advising Clients in Responding to Insider Trading Investigations Chapter 6 Vol. 1. Government Enforcement Activities Involving Insider Trading Abuses Chapter 7 Vol. 1. Counseling The Client in Light of Recent Criminalization of Certain Provisions of The Federal Securities Laws Chapter 8 Vol. 1. Counseling The Multi-Service Securities Firm Chapter 9 Vol. 1. Counseling The Corporate Issuer on Disclosure Matters. Chapter 10 Vol. 1. Perspectives on Insider Trading Civil Liability Chapter 1 Vol. 2. Disclosure Issues Chapter 2 Vol. 2. Timely Disclosure — Fall 1987 Chapter 3 Vol. 2. The Growing Complexity of The Business Judgment Rule…. Chapter 4 Vol. 2. Restructuring as A Takeover Defense Chapter 5 Vol. 2. Developments in Offense: Open Market Purchases in Lieu of Tender Offers and Leveraged Deals Chapter 6 Vol. 2. Developments in Offense: Comments on Certain Techniques used Recently by Some Acquirors and On Certain Recent Developments Affecting Acquirors Chapter 7 Vol. 2. Developments in Hie Law of Mergers and Acquisitions: Developments in Defense Chapter 8 Vol. 2. Draft on S.1323 as Amended in Committee Mark-Up Chapter 9 Vol. 2. Breathing New Life into State Takeover Statutes Chapter 10 Vol. 2. Developments in The Regulation of Securities Markets…. Chapter 11 Vol. 2. Selected Current Developments in Financial Services Regulation Chapter 12 Vol. 2. Developments in International Equity Securities Markets.