Insider trading / edited by Stephen M. Bainbridge.  (Text) (Text)

Bainbridge, Stephen M
Call no.: K1115.I57 I57 2011Series: Corporate law (Edward Elgar Publishing): 1.; Elgar research collection: Publication: Cheltenham : Edward Elgar Pub., c2011Description: xvi, 740 pISBN: 9781849801355 (hbk. : alk. paper); 1849801355 (hbk. : alk. paper); 9781849804653 (hbk.); 1849804656 (hbk.)Subject(s): Insider trading in securities -- Law and legislationLOC classification: K1115.I57 | I57 2011
Contents:Introduction / Stephen M. Bainbridge -- PART I ORIGINS AND DEVELOPMENT OF INSIDER TRADING LAW -- 1. Michael Conant (1960-61), 'Duties of Disclosure of Corporate Insiders Who Purchase Shares', Cornell Law Quarterly, 46, 53-75 -- 2 Arthur Fleischer, Jr., Robert H. Mundheim and John C. Murphy, Jr. (1973), 'An Initial Inquiry into the Responsibility to Disclose Market Information', University of Pennsylvania Law Review, 121 (4), April, 798--858 -- PART II THE SUPREME COURT'S DECISIONS IN CHIARELLA AND DIRKS -- 3. Donald C. Langevoort (1982), 'Insider Trading and the Fiduciary Principle: A Post-Chiarella Restatement', California Law Review, 70 (1), January, 1-53 -- 4. Jonathan R. Macey (1984-85), 'From Fairness to Contract: The New Direction of the Rules Against Insider Trading', Hofstra Law Review, 13, 9-64 --PART III THE MISAPPROPRIATION THEORY EMERGES -- 5. Richard W. Painter, Kimberly D. Krawiec and Cynthia A. Williams (1988), 'Don't Ask, Just Tell: Insider Trading after United States v. O'Hagan', Virginia Law Review, 84 (2), March, 153-228 -- 6. A.C. Pritchard (1988), 'United States v. O'Hagan: Agency Law and Justice Powell's Legacy for the Law of Insider Trading', Boston University Law Review, 78, 13-58PART IV INSIDER TRADING STATUTES -- 7. Donald C. Langevoort (1984), 'The Insider Trading Sanctions Act of 1984 and its Effect on Existing Law', Vanderbilt Law Review, 37 (6), November, 1273--98 -- 8. Lawrence E. Mitchell (1987-88), 'The Jurisprudence of the Misappropriation Theory and the New Insider Trading Legislation: From Fairness to Efficiency and Back', Albany Law Review, 52, 775-839 -- PART V INSIDER TRADING POLICY: THE MANNE DEBATE -- 9. Henry G. Manne (1966), 'In Defense of Insider Trading', Harvard Business Review, 44, November-December, 113-22 -- 10. Roy A. Schotland (1967), 'Unsafe at Any Price: A Reply to Manne, Insider Trading and the Stock Market', Virginia Law Review, 53 (7), November, 1425-78 -- 11. Henry G. Manne (1970), 'Insider Trading and the Law Professors', Vanderbilt Law Review, 23 (1), December, 547-90PART VI INSIDER TRADING POLICY: THE POST-MANNE DEBATE -- 12. Michael P. Dooley (1980), 'Enforcement of Insider Trading Restrictions', Virginia Law Review, 66 (1), February, 1-83 -- 13. Dennis W. Carlton and Daniel R. Fischel (1983), 'The Regulation of Insider Trading', Stanford Law Review, 35 (5), May, 857-95 -- 14. Larry E. Ribstein (1988), 'Federalism and Insider Trading', Supreme Court Economic Review, 6, 123-71 -- 15. Stephen M. Bainbridge (2000), 'Insider Trading', in Boudewijn Bouckaert and Gerrit Dr Geest (eds), Encyclopedia of Law and Economics, Volume III: The Regulation of Contracts, Cheltenham, UK and Northampton, MA: Edward Elgar Publishing, 772-812.
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Includes bibliographical references (p. 726-739).

Introduction / Stephen M. Bainbridge -- PART I ORIGINS AND DEVELOPMENT OF INSIDER TRADING LAW -- 1. Michael Conant (1960-61), 'Duties of Disclosure of Corporate Insiders Who Purchase Shares', Cornell Law Quarterly, 46, 53-75 -- 2 Arthur Fleischer, Jr., Robert H. Mundheim and John C. Murphy, Jr. (1973), 'An Initial Inquiry into the Responsibility to Disclose Market Information', University of Pennsylvania Law Review, 121 (4), April, 798--858 -- PART II THE SUPREME COURT'S DECISIONS IN CHIARELLA AND DIRKS -- 3. Donald C. Langevoort (1982), 'Insider Trading and the Fiduciary Principle: A Post-Chiarella Restatement', California Law Review, 70 (1), January, 1-53 -- 4. Jonathan R. Macey (1984-85), 'From Fairness to Contract: The New Direction of the Rules Against Insider Trading', Hofstra Law Review, 13, 9-64 --PART III THE MISAPPROPRIATION THEORY EMERGES -- 5. Richard W. Painter, Kimberly D. Krawiec and Cynthia A. Williams (1988), 'Don't Ask, Just Tell: Insider Trading after United States v. O'Hagan', Virginia Law Review, 84 (2), March, 153-228 -- 6. A.C. Pritchard (1988), 'United States v. O'Hagan: Agency Law and Justice Powell's Legacy for the Law of Insider Trading', Boston University Law Review, 78, 13-58

PART IV INSIDER TRADING STATUTES -- 7. Donald C. Langevoort (1984), 'The Insider Trading Sanctions Act of 1984 and its Effect on Existing Law', Vanderbilt Law Review, 37 (6), November, 1273--98 -- 8. Lawrence E. Mitchell (1987-88), 'The Jurisprudence of the Misappropriation Theory and the New Insider Trading Legislation: From Fairness to Efficiency and Back', Albany Law Review, 52, 775-839 -- PART V INSIDER TRADING POLICY: THE MANNE DEBATE -- 9. Henry G. Manne (1966), 'In Defense of Insider Trading', Harvard Business Review, 44, November-December, 113-22 -- 10. Roy A. Schotland (1967), 'Unsafe at Any Price: A Reply to Manne, Insider Trading and the Stock Market', Virginia Law Review, 53 (7), November, 1425-78 -- 11. Henry G. Manne (1970), 'Insider Trading and the Law Professors', Vanderbilt Law Review, 23 (1), December, 547-90

PART VI INSIDER TRADING POLICY: THE POST-MANNE DEBATE -- 12. Michael P. Dooley (1980), 'Enforcement of Insider Trading Restrictions', Virginia Law Review, 66 (1), February, 1-83 -- 13. Dennis W. Carlton and Daniel R. Fischel (1983), 'The Regulation of Insider Trading', Stanford Law Review, 35 (5), May, 857-95 -- 14. Larry E. Ribstein (1988), 'Federalism and Insider Trading', Supreme Court Economic Review, 6, 123-71 -- 15. Stephen M. Bainbridge (2000), 'Insider Trading', in Boudewijn Bouckaert and Gerrit Dr Geest (eds), Encyclopedia of Law and Economics, Volume III: The Regulation of Contracts, Cheltenham, UK and Northampton, MA: Edward Elgar Publishing, 772-812.

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