Selected articles on Federal securities law [of the] Section of Corporation, Banking and Business law / Edited by Herbert S. Wander and Warren F. Grienenberger.

Saved in:
Bibliographic Details
Corporate Author: American Bar Association. Section of Corporation, Banking, and Business Law
Other Authors: Wander, Herbert S. (Compiler), Grienenberger, Warren F. (Compiler)
Format: Book
Language:English
Published: [Chicago] : American Bar Association, [1968]
Subjects:
Table of Contents:
  • Guideposts for a first public offering / by Francis M. Wheat and George A. Blackstone (1960)
  • Edited selections from San Francisco meeting (1962) / by Carlos L. Israels, et al.
  • Problems inherent in pre-filing publicity / by Ralph H. Demmler (1959)
  • Disclosure requirements under federal securities regulation (1961) / by Harry Heller
  • Delivery of prospectuses in exempted dealer transactions and the Securities Amendments of 1964 (1965) / by Perry S. Patterson
  • The case of the scarlet letter or the easy way out on "private offerings" / by W. McNeil Kennedy
  • Some commercial overtones of private placement (1959) / by Carlos L. Israels
  • The investment-intent dilemma in secondary transactions (1964) / by Gary L. Wood
  • The private offering and intraststate exemptions under the Securities Act of 1933 ( 1967) / by Stephen F. Owen, Jr.
  • Enforcement problems under the federal securities laws (1959) / by Philip A. Loomis, Jr.
  • Who's "in control?" : SEC (1966) / by A.A. Sommer, Jr.
  • Stop-transfer procedures and the Securities Act of 1933 : addendum to Uniform Commercial Code : Article 8 (1962) / by Carlos L. Israels
  • The Guild Films case : the effect of "good faith" in foreclosure sales of unregistered securities pledges as collateral (1960) / by James C. Sargent
  • Civil liabilities and administrative sanctions under the Securities Act of 1933 (1966) / by William H. Painter
  • Accounting aspects. Securities Acts Amendments of 1964 (1965) / by Ralph E. Lee and William D. Hall
  • Mergers, consolidations, sales of assets : Rule 133 (1964) / by A.A. Sommer, Jr.
  • Statutory mergers and asset acquisitions (1966) / by Orvel Sebring
  • Private placement of convertible securities (1960) / by Edward N. Gadsby
  • The Federal Securities Act and the locked-in stockholder (1965) / by Neil Flanagin
  • A reappraisal of the role of disclosure (1964) / by Robert L. Knauss
  • The Securities Acts Amendments of 1964 : new registration and reporting requirements (1964) / by Hugh L. Sowards
  • Banks and insurance companies (1965) / by J. Gordon Cooney
  • A note on Regulation T (1965) / by Robert C. Effros
  • A note on Regulation U (1964) / by Robert C. Effros
  • Regulation of entry into the securities business (1965) / by Marvin Greene
  • National Association of Securities Dealers and the Securities Acts Amendments of 1964 (1965) / by Graham L. Sterling, Jr.
  • Soliciting proxies under the SEC's rules (1965) / by Robert S. Green
  • The proxy rules : a case study in the administrative process (1964) / by Robert B. von Mehren and John C. McCarroll
  • Insider training under the Securities Exchange Act (1953) / by Donald C. Cook and Myer Feldman
  • Short-swing "purchase and sales" under the Securities Exchange Act (1966) / Northwestern Law Review
  • Put and call options : criteria for applicability of Section 16(b) of the Securities Exchange Act of 1934 ( 1965) / by George P. Michaely, Jr. and Barbara A. Lee
  • Application of Section 16(b) of the Securities Exchange Act of 1934 to insiders' transactions under employee stock option plans (1962) / by Harry Green and Richard S. Kelly
  • Liability for "short swing" trading in corporate reorganizations (1966) / by Robert Todd Lang and Melvin Katz
  • The implications of Cady, Roberts (1962) / by F. Arnold Daum and Howard W. Phillips
  • Corporate acquisitions and actions under Sections 10(b) and 14 of the Securities Exchange Act of 1934 (1968) / by James C. Lockwood
  • Market activities of participants in securities distributions (1959) / by William Ward Foshay
  • Transactions by a corporation in its own shares (1964) / by W. McNeil Kennedy
  • Corporate acquisition by tender offer (1967) / by Arthur Fleischer, Jr. and Robert H. Mundheim
  • "Federal corporation law" : an assessment (1965) / by Arthur Fleischer, Jr.
  • Corporate disclosures required by the federal securities laws : the codification implications of Texas Gulf Sulphur (1967) / by David S. Ruder
  • Federal regulation of investment companies since 1940 (1950) / by Warren Motley, Charles Jackson, Jr. and John Barnard, Jr.
  • When is an investment company? (1960) / by Ray Garrett, Jr.