January 1, 2000 | Toward a Level Playing Field: Challenges to Accomplice Testimony in the Wake of United States v. Singleton | |
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 |
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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 |
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January 1, 1998 |
Commodity Pools: Collective Investment Funds Under the Futures Regulatory Framework
Investment Management Regulation
Carolina Academic Press (1998) |
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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 |
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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 |
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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 |
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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 |
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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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