Works matching DE "LEGAL status of capitalists %26 financiers"
Results: 128
UN GUIDING PRINCIPLES ON BUSINESS AND HUMAN RIGHTS: MAKING HEADWAY TOWARDS REAL CORPORATE ACCOUNTABILITY?
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- Netherlands Quarterly of Human Rights, 2011, v. 29, n. 2, p. 159, doi. 10.1177/016934411102900201
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The Securities Act of 1933.
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- Brooklyn Law Review, 2014, v. 79, n. 3, p. 1233
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Righting Others' Wrongs.
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- Brooklyn Law Review, 2012, v. 78, n. 1, p. 1
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- Article
ADDING NEW INGREDIENTS TO AN OLD RECIPE: DO ISDS REFORMS AND NEW INVESTMENT TREATIES SUPPORT HUMAN RIGHTS?
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- Case Western Reserve Journal of International Law, 2021, v. 53, n. 1/2, p. 117
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Crowdfunding and the Small Offering Exemption in European and US Prospectus Regulation: Striking a Balance Between Investor Protection and Access to Capital?
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- European Company & Financial Law Review, 2017, v. 14, n. 1, p. 121
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Editorial in Honour of Klaus J. Hopt.
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- European Company & Financial Law Review, 2006, v. 3, n. 2, p. 121, doi. 10.1515/ECFR.2006.005
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- Article
REASONABLE INVESTOR(S).
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- Boston University Law Review, 2015, v. 95, n. 2, p. 461
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TOWARD A MORE PERFECT SUBSTITUTE: HOW PRESSURE ON THE ISSUERS OF PRIVATE-LABEL MORTGAGE-BACKED SECURITIES CAN IMPROVE THE ACCURACY OF RATINGS.
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- Boston University Law Review, 2013, v. 93, n. 6, p. 1905
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Ripping off Aunt Agatha: a decade of the Financial Services Act.
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- Economic Affairs, 1999, v. 19, n. 1, p. 38, doi. 10.1111/1468-0270.00140
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- Article
GOVERNING SYSTEMIC RISK: TOWARDS A GOVERNANCE STRUCTURE FOR DERIVATIVES CLEARINGHOUSES.
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- Emory Law Journal, 2012, v. 61, n. 5, p. 1153
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DETERMINANTEN INSTITUTIONELLER VIELFALT.
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- Discussions on Estonian Economic Policy, 2012, v. 20, n. 1, p. 20
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PUBLIC AND PRIVATE ENFORCEMENT OF DISCLOSURE BREACHES IN AUSTRALIA.
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- Journal of Corporate Law Studies, 2009, v. 9, n. 2, p. 409, doi. 10.1080/14735970.2009.11421547
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ARE US-STYLE INVESTOR SUITS COMING TO THE UK?
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- Journal of Corporate Law Studies, 2009, v. 9, n. 2, p. 315, doi. 10.1080/14735970.2009.11421544
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- Article
LIABILITY FOR MISSTATEMENTS TO THE MARKET: SOME REFLECTIONS.
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- Journal of Corporate Law Studies, 2009, v. 9, n. 2, p. 295, doi. 10.1080/14735970.2009.11421543
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- Article
Supreme Court victory for CPAs may be hollow.
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- Internal Auditor, 1994, v. 51, n. 4, p. 10
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Analyst Recommendations and Regulation: Scopes for European Policy Makers to Enhance Investor Protection.
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- International Advances in Economic Research, 2014, v. 20, n. 4, p. 369, doi. 10.1007/s11294-014-9484-x
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NAFTA Chapter 11 Investor-to-State Dispute Resolution: A Shield to Be Embraced or a Sword to Be Feared?
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- Brigham Young University Law Review, 2002, v. 2002, n. 2, p. 527
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The Volcker Rule's Impact On Client Bank Investors.
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- Banking Law Journal, 2014, v. 131, n. 6, p. 394
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THE FUTURE OF MARKETING NON-EU ALTERNATIVE INVESTMENT FUNDS IN EUROPE.
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- Banking Law Journal, 2014, v. 131, n. 3, p. 259
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Capital Market Risk Implications of Governance and Disclosure for the Insurance Industry: The Case of Sarbanes-Oxley.
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- Journal of Insurance Issues, 2009, v. 32, n. 1, p. 78
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Shooting Fish in a Barrel: Investor Protection in the Aftermath of the Global Financial Crisis.
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- Law & Financial Markets Review, 2016, v. 10, n. 3, p. 117, doi. 10.1080/17521440.2016.1258790
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IRRATIONAL INVESTORS AND THE CORPORATE INVERSION PUZZLE.
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- SMU Law Review, 2016, v. 69, n. 2, p. 453
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INVESTMENT SECURITY IN THE ENERGY SECTOR: COMPARATIVE ANALYSIS OF SELECTED UNITED STATES AND EUROPEAN UNION LAW.
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- Capital University Law Review, 2014, v. 42, n. 4, p. 861
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REGULATING IN THE SHADOWS: SYSTEMIC MORAL HAZARD AND THE PROBLEM OF THE TWENTY-FIRST CENTURY BANK RUN.
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- Alabama Law Review, 2012, v. 63, n. 2, p. 222
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Underpricing of IPOs and Legal Frameworks Around the World.
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- Review of Law & Economics, 2008, v. 4, n. 1, p. 419, doi. 10.2202/1555-5879.1238
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Session III: Issues Concerning Enforcement and Dispute Resolution.
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- 2017
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- Speech
FEELING INSECURE A STATE VIEW OF WHETHER INVESTORS IN MUNICIPAL GENERAL OBLIGATION BONDS HAVE A MERE PROMISE TO PAY OR A BINDING OBLIGATION.
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- Widener Law Journal, 2015, v. 24, n. 1, p. 19
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Law, Finance, and Politics: The Case of India.
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- Law & Society Review, 2009, v. 43, n. 3, p. 491, doi. 10.1111/j.1540-5893.2009.00380.x
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SUBSIDIARITY AND THE PUBLIC--PRIVATE DISTINCTION IN INVESTMENT TREATY ARBITRATION.
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- Law & Contemporary Problems, 2016, v. 79, n. 2, p. 99
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Federalism and Investor Protection: Constitutional Restraints on Preemption of State Remedies for...
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- Law & Contemporary Problems, 1997, v. 60, n. 3/4, p. 169, doi. 10.2307/1192010
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THE USE OF FINANCIAL MEASURES TO PROMOTE SECURITY.
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- Journal of International Affairs, 2008, v. 62, n. 1, p. 103
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Why Is Property Right Protection Lacking in China? AN INSTITUTIONAL EXPLANATION.
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- California Management Review, 2004, v. 46, n. 3, p. 100, doi. 10.2307/41166223
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Financial Services Trade in Special Economic Zones.
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- Journal of International Economic Law, 2021, v. 24, n. 2, p. 277, doi. 10.1093/jiel/jgab023
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Investor Obligations in Special Economic Zones: Legal Status, Typology, and Functional Analysis.
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- Journal of International Economic Law, 2021, v. 24, n. 2, p. 321, doi. 10.1093/jiel/jgab011
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A Pareto-Improving Compensation Rule for Investment Treaties.
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- Journal of International Economic Law, 2021, v. 24, n. 1, p. 181, doi. 10.1093/jiel/jgab006
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Essential Security Interests in International Investment Agreements.
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- Journal of International Economic Law, 2012, v. 15, n. 2, p. 481, doi. 10.1093/jiel/jgs024
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The Global Regime of Investor Rights: Return to the Standards of Civilised Justice?
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- Transnational Legal Theory, 2014, v. 5, n. 1, p. 60, doi. 10.5235/20414005.5.1.60
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Fragmentation of International Law: The Case of International Finance & Investment Law Versus Human Rights Law.
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- 2012
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- Conference Paper/Materials
CORPORATE SCANDALS: GLOBAL RECOGNITION OF SECURITIES REGULATION -- HOW IS CHINA FARING?
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- University of Toledo Law Review, 2009, v. 41, n. 1, p. 213
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Let's Shake on it: Perceived Pre-contractual Risk in Cross-border Investment.
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- University of Miami Business Law Review, 2019, v. 27, n. 2, p. 215
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Triangular Treaties: The Extent and Limits of Investment Treaty Rights.
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- Harvard International Law Journal, 2015, v. 56, n. 2, p. 353
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Posner on Tax: The Independent Investor Test.
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- University of Chicago Law Review, 2019, v. 86, p. 1157
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BIT: gestionar el riesgo político.
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- Revista de Antiguos Alumnos del IEEM, 2011, v. 14, n. 5, p. 50
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- Article
FINANCIERS AS MONITORS IN AGGREGATE LITIGATION.
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- New York University Law Review, 2012, v. 87, n. 5, p. 1273
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STORIES IN THE DEVELOPMENT OF BANKRUPTCY LAW.
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- 2012
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- Speech
HANDLING CLAIMS IN PONZI SCHEME BANKRUPTCY AND RECEIVERSHIP CASES.
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- Golden Gate University Law Review, 2012, v. 42, n. 4, p. 567
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- Article
Foreign Direct Investors as Change Agents: The Swedish Firm Experience.
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- Corporate Governance: An International Review, 2013, v. 21, n. 6, p. 516, doi. 10.1111/corg.12035
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- Article
NET EQUITY ONLY COMES WITH NET EQUALITY: AN EXPLORATION OF AN ALTERNATIVE REMEDY FOR VICTIMS OF PONZI SCHEMES.
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- Temple Law Review, 2012, v. 84, n. 2, p. 523
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ADDING MEANING TO "MEANINGFUL CAUTIONARY STATEMENTS": PROTECTING INVESTORS WITH A NARROW READING OF THE PSLRA'S SAFE HARBOR FOR FORWARD-LOOKING STATEMENTS.
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- 2012
- Publication type:
- Opinion
State Counterclaims in Investment Arbitration - A New Lease of Life?
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- Arbitration International, 2013, v. 29, n. 4, p. 575, doi. 10.1093/arbitration/29.4.575
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- Article