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A BRIDGE TOO FAR: A CRITICAL ANALYSIS OF THE SECURITIES AND EXCHANGE COMMISSION'S APPROACH TO EQUITY MARKET REGULATION.
- Published in:
- Brooklyn Journal of Corporate, Financial & Commercial Law, 2017, v. 11, n. 2, p. 285
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- Article
Risk-shifting Through Issuer Liability and Corporate Monitoring.
- Published in:
- European Business Organization Law Review, 2013, v. 14, n. 4, p. 497, doi. 10.1017/S1566752912001280
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- Article
A MOST ADEQUATE RESPONSE TO EXCESSIVE SHAREHOLDER LITIGATION.
- Published in:
- Hofstra Law Review, 2016, v. 45, n. 1, p. 147
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- Article
KEEP SECURITIES REFORM MOVING: ELIMINATE THE SEC'S INTEGRATION DOCTRINE.
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- Hofstra Law Review, 2015, v. 44, n. 1, p. 3
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- Article
WHO'S BEHIND DOOR NUMBER ONE?: PROBLEMS WITH USING CONFIDENTIAL SOURCES IN SECURITIES LITIGATION.
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- University of Illinois Law Review, 2011, v. 2011, n. 5, p. 1827
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- Article
The Quiet Period in a Noisy World: Rethinking Securities Regulation and Corporate Free Speech.
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- Ohio State Law Journal, 2013, v. 74, n. 2, p. 189
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- Article
SELECTED LEGAL ASPECTS OF MORTGAGE BONDS IN EUROPEAN LAW, WITH EMPHASIS ON GERMAN LEGISLATION.
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- Financial Internet Quarterly 'e-Finanse', 2011, v. 7, n. 2, p. 70
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- Article
CONSIDERAÇÕES PRELIMINARES SOBRE O FIM DOS VALORES MOBILIÁRIOS AO PORT ADOR - ANÁLISE E DÚVIDAS DECORRENTES DA LEI N.° 15/2017, DE 3 DE MAIO.
- Published in:
- Actualidad Jurídica (1578-956X), 2017, n. 47, p. 134
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- Publication type:
- Article
FOREWORD.
- Published in:
- Duke Journal of Constitutional Law & Public Policy, 2015, v. 10, n. 2, p. i
- Publication type:
- Article