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Home > FLR > Vol. 63 > Iss. 6 (1995)

 

Articles

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The SEC's Unfinished Soft Information Revolution
Joel Seligman

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The Challenge of Derivatives
Saul S. Cohen

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Double, Double Toil and Trouble: Bank Regulatory Policy at Mid-Decade
Michael P. Malloy

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FDIC/RTC Suits Against Bank and Thrift Officers and Directors: Why Now, What's Left
James T. Pitts, Eric W. Bloom, and Monique M. Vasilchik

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Leveling the Playing Field: The Need for Investor Protection for Bank Sales of Loan Participations
Richard Y. Roberts and Randall W. Quinn

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An Uncommon State of Confusion: The Common Enterprise Element of Investment Contract Analysis
Maura K. Monaghan

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State and Local Governmental Entities: In Search of... Statutory Authority To Enter into Interest Rate Swap Agreements
Jeanette Redmond

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Checkosky, Rule 2(E) and the Auditor: How Should the Securities and Exchange Commission Define its Standard of Improper Professional Conduct?.
Marie L. Coppolino

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Is Revlon Only Cosmetic?: Structuring a Merger in the Mid-1990s
Alexander B. Johnson

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Resolving Pre-Receivership Claims Against Failed Savings and Loans: An Unnecessarily Exhausting Experience
Dierdre M. Roarty

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Bank Director Liability Under Firrea
Michael P. Battin

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Risk-Based Capital Adequacy Guidelines: A Sound Regulatory Policy or A Symptom of Regulatory Inadequacy?
Walter I. Conroy

 
 
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