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Home > FLR > Vol. 61 > Iss. 6 (1993)

 

Articles

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Foreword
Milton V. Freeman

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Rule 10b-5 as an Adaptive Organism
Donald C. Langevoort

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Can 10b-5 for the Banks--The Effect of an Antifraud rule on the Regulation of Banks
Michael P. Malloy

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Congratulations from Your Continental Cousins, 10b-5: Securities Fraud Regulation from the European Perspective
Gerhard Wegen

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As Time Goes By: New Questions About the Statute of Limitations for Rule 10b-5
Jill E. Fisch

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The Rise and Fall (and Rise) of Information-Based Insider Trading Enforcement
Thomas A. McGrath, III

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Should Fraud on the Market Theory Extend to the Context of Newly Issued Securities?
Joseph De Simone

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An Implied Right of Contribution Under Rule 10b-5: An Essential Element of Attaining the Goals of the Securities Exchange Act of 1934
Mary Ellen P. Dooley

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Puppet Masters of Marionettes: Is Program Trading Maniuplative as Defined by the Securites Exchange Act of 1934
Lawrence Damian McCabe

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The Duty to Disclose Forward-Looking Information: A Look at the Future of MD&A
Suzanne J. Romajas

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The Mother Court and the Foreign Plaintiff: Does Rule 10b-5 Reach Far Enough?
James J. Finnerty, III

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Rule 10b-5 and Transnational Bankruptcies: Whose Law Should Apply?
Lauren D. Rosenthal

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10b-5 or Not 10b-5: Are the Current Efforts to Reform Securities Litigation Misguided?
Adam F. Ingber

 
 
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