Antitrust and Regulation (original) (raw)
Introductory Comment: A Historical Introduction to the Securities Act of 1933 and the Securities Exchange Act of 1934
Elisabeth Keller
Ohio St. LJ, 1988
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Post-Enron Impact on Regulation of Financial Markets 1
Andrew Sheng
2002
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The Development of Securities Law in the United States
Paul Mahoney
Journal of Accounting Research, 2009
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Promises Made, Promises Kept: The Practical Implications of the Private Securities Litigation Reform Act of 1995
Harvey Pitt
San Diego L. …, 1996
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Falling Short: Has the SEC’s Quest to Control Market Manipulation and Abusive Short Selling Come to an End or Has It Really Just Begun?
richard ramirez
Social Science Research Network, 2011
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Public and Private Enforcement of the Securities Laws: Have Things Changed Since Enron?
Randall Thomas
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Omnicare v. Indiana State District Council and Its Rational Basis Test for Allowing for Opinion Statements to Be a Misleading Fact or Omission Under Section 11 of the Securities Act of 1933
Brian Elzweig
Pace law review, 2017
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Comment, Regulation and Investors' Trust in the Securities Markets
Tamar Frankel
SSRN Electronic Journal, 2002
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Legislating on a False Foundation: The Erroneous Academic Underpinnings of the Private Securities Litigation Reform Act of 1995
Leonard Simon
The San Diego law review, 1996
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1 Rethinking Securities Regulation After the Crisis: An Economics Perspective
Alex Erskine
2010
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The sleeping watch dog: aka the Securities and Exchange Commission
Frank S . Perri JD, CPA, CFE
Journal of Financial Regulation and …, 2011
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Economic Regulation and Its Reform: What Have We Learned?: Incentive regulation in Theory and Practice: Electricity Distribution and Transmission Networks
Paul Joskow
2011
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Law, Share Price Accuracy, and Economic Performance: The New Evidence
bernard Yeung
Michigan Law Review, 2003
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Securities Regulation By Enforcement: A Look Ahead At the Next Decade
Harvey Pitt
Yale Journal on Regulation, 1990
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Shirking at the SEC: The Failure of the National Market System
David Haddock
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The Sec as a Bureaucracy: Public Choice, Institutional Rhetoric, and the Process of Policy Formulation
Donald Langevoort
1990
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Financial reporting in the 1930s in the United States preserving the status quo
Barbara Merino
Accounting Forum, 2003
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Fraud on the Market and the Substantive Theory of Class Actions
zachary starr
2012
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Empowering Investors: A Market Approach to Securities Regulation
Roberta Romano
1998
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Do the Merits Matter More? Class Actions under the Private Securities Litigation Reform Act
Adam L Y N N Pritchard
SSRN Electronic Journal, 2002
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How does regulation affect beliefs ? Stock Market valuation of Orphan Drug Regulatory Approvals
Philippe GORRY
2016
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The Myth of Protecting the Public Interest: The Case of the Missing Mandate in Federal Securities Law
Wm. Dennis Huber
2021
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Preventing the next wave of unreliable fi nancial reporting: Why US Congress should amend Section 404 of the Sarbanes – Oxley Act
Tim Leech
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Sarbanes-Oxley: An endangered specie?
Doctor Aida Sy
Critical Perspectives on Accounting, 2008
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Back to Basics: Regulating How Corporations Speak to the Market
Ian Ayres
Virginia Law Review, 1991
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Misappropriating Certainty from the Securities Markets: A Practitioner's Primer on the O'Hagan Decision
Harvey Pitt
North Carolina Banking Institute, 1998
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The Repeal Of The Glass- Steagall Act And The Current Financial Crisis
corinne crawford
Journal of Business & Economics Research (JBER), 2011
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TWO ESSAYS ON REGULATION AND TRANSPARENCY ABSTRACT OF THE DISSERTATION Two Essays on Securities Regulation
Alejandro Serrano
2013
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Recent Developments at the Securities and Exchange Commission: Academic Contributions and Opportunities
bjorn franck Jorgensen
Accounting Horizons, 2007
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What Works in Securities Laws?
Florencio Lopez-de-silanes
SSRN Electronic Journal, 2000
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The Pernicious Art of Securities Regulation (reviewing Anglo-American Securities Regulation: Cultural and Political Roots, 1690-1860 by Stuart Banner)
Paul Mahoney
University of Chicago Law Review, 1999
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Are Judges Motivated to Create Good Securities Fraud Doctrine
Donald Langevoort
Emory LJ, 2002
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Corporate Malfeasance and the Myth of Shareholder Value
Frank Dobbin
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Managing the 'Expectations Gap' in Investor Protection: The SEC and the Post-Enron Reform Agenda
Donald Langevoort
SSRN Electronic Journal, 2003
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