
V. 1. Background Of The Sec Statutes -- Federal Regulation Of The Distribution Of Securities -- V. 2. Federal Regulation Of The Distribution Of Securities (continued) -- Coverage Of The Securities Act Of 1933: Definitions And Exemptions -- V. 3 Coverage Of The Securities Act Of 1933: Definitions And Exemptions (continued) -- V. 4. Protective Committee Reform: The Trust Indenture Act Of 1939 And Sec Functions Under The Bankruptcy Code -- Control Concepts Under The Sec Statutes -- Registration And Postregistration Provisions Of The 1934 Act -- V. 5. Registration And Postregistration Provisions Of The 1934 Act (continued) -- Regulation Of The Securities Markets -- V. 6. Regulation Of Securities Markets (continued) -- Regulation Of Brokers, Dealers, And Investment Advisers -- V. 7 Regulation Of Brokers, Dealers, And Investment Advisers (continued); Fraud -- V. 8. Fraud (continued); Manipulation -- V. 9. Manipulation (continued); Civil Liability -- V. 11. Tables, Index Louis Loss, Joel Seligman, Troy Paredes. Includes Tables And Index Volume, Issued Annually As Volume Xi. Includes Bibliographical References And Index. Gradually Replacing Fifth Edition.
Page Count:
905
Publication Date:
2006-01-01
ISBN-10:
0735559430
ISBN-13:
9780735559431
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