January 1, 2000 US Derivatives Regulation
Trading the Future (The Futures and Options Association, 2000)
January 1, 2000 Sector Specific vs. Unified Regulation: Contrasts in Regulation
Trading the Future (The Futures and Options Association, 2000)
January 1, 2000 U.S. Law Considerations Applicable to Foreign Bank Acquisitions of U.S. Banking Institutions
1 Regulation of Foreign Banks: United States and International (4th ed. 2000)
October 1, 1999 Mutual Funds and Derivatives: Defining the Regulatory Boundaries
Futures and Derivatives Law Report, October 1999 and November 1999
August 1, 1999 Hedge Fund Scrutiny Continues
Futures Industry Magazine
April 1, 1999 Judicial Review of Administrative Decisions and Disclosure of Administrative Materials Under Amended Drug Enforcement Agency Regulations
67 George Washington Law Review 1025
January 1, 1999 Commodity Pools
Financial Product Fundamentals
PLI 1999
January 1, 1999 Offshore Commodity Funds: Leveraged Growth
The Chancellor Offshore Funds Manual
January 1, 1999 The United States—‘Capital’ of the World
March 1, 1998 Clearing Advances in the U.S.
Futures Industry Magazine
January 1, 1998 United States Disclosure Standards for Banks
Asia Law Supplement
January 1, 1998 Commodity Pools and Futures Related Investment Vehicles
Investment Management Regulation
Carolina Academic Press
January 1, 1998 Commodity Pools: Collective Investment Funds Under the Futures Regulatory Framework
Investment Management Regulation
Carolina Academic Press (1998)
January 1, 1998 Creating and Recovering Experience: Repetition in Tolstoy
Stanford University Press
January 1, 1998 Die invloed van die ligging van ’n grondstuk op die reëls ten opsigte van die natuurlike afvloei van water
Tydskrif vir Hedendaagse Romeins-Hollandse Reg
December 15, 1997 Mutual Funds Confront Dilemmas in Trying to Value Portfolios
New York Law Journal
August 1, 1997 CFTC Regulation of Collective Investment Vehicles and Commodity Trading Advisors
Nuts and Bolts of Financial Products: The Evolving World of Capital and Investment Management Products
Practicing Law Institute, August 1997
January 1, 1997 Hedge Funds in the 1990's: Private Risk Taking; Public Consequences?
The Financial Services Revolution: Understanding the Changing Roles of Banks, Mutual Funds and Insurance Companies
Irwin, 1997
January 1, 1997 Banking and Technology
University of North Carolina Law School Banking Law Institute, Volume 1, page 37
October 1, 1996 Article 2 of the UCC and Futures Contracts
Nineteenth Annual Commodities Law Institute and Fifth Annual Financial Services Law Institute
Chicago-Kent College of Law
June 1, 1996 Does Daubert Raise a New Barrier to Entry For Economists?
10 Antitrust No. 3
March 1, 1996 The Perils of Success: Public Polilcy Issues Presented by Hedge Funds
16 Futures and Derivatives Law Report
February 1, 1996 Modernizing Securities Ownership, Transfer and Pledging Laws
Capital Markets Forum, International Bar Association
January 1, 1996 Persuasive Demonstrative Evidence, Vol. 6, Issue 1
Federal Litigation Guide Reporter 3
January 1, 1995 Commodity Trading Advisor Regulation
ALIABA Course of Study Materials
Investment Adviser Regulation
January 1, 1995 Organizing Trial Materials, Chapter 3
California Trial Practice: Civil Procedure During Trial (Cal CEB 3d Ed. 1995)
January 1, 1994 Transferable Employee Stock Options—Selected Tax and Securities Law Issues
ERISA and Benefits Law Journal
December 6, 1993 Aiding and Abetting Liability in SEC Enforcement Actions
New York Law Journal
March 29, 1993 Going Concern Valuations Under The Bankruptcy Code
New York Law Journal
January 1, 1993 Dealing With Difficult Opposing Counsel, Vol. 4, Issue 13
Federal Litigation Guide Reporter 393
January 1, 1993 SEC Adopts New Rules on Executive Compensation
Securities & Commodities Regulation
January 1, 1992 Deposit Insurance Reform
Wake Forest Law Review 11
January 1, 1992 Deposit Insurance, Current Problems and Proposals
Current Issues Affecting Central Banks, Volume 1, page 191 (International Monetary Fund)
January 1, 1992 New Issues in Structuring Executive Compensation Under the Revised Section 16 Rules
ERISA and Benefits Law Journal
March 1, 1989 CFTC, SEC Seek Comments on Commodity Pool Disclosures
FIA Review
January 1, 1989 The Regulation of Hybrid Products and Other Off Exchange Instruments Under the Commodity Exchange Act
ALIABA Course of Study Materials, Broker Dealer Regulation
January 1, 1987 Maintenance of Market Strategies in Futures Broker Insolvencies: Futures Position Transfers From Troubled Firms
44 Washington and Lee Law Review
January 1, 1985 The Importance of Considering Liabilities in Tax Transitions
98 Harv. L. Rev. 1842
January 1, 1984 From Income to Consumption Tax: Criteria for Rules of Transition
97 Harv. L. Rev. 1581

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