000 01488nam a2200217 a 4500
005 20160503113231.0
008 141201s2010 xx 000 0 und d
020 _a9780195391459
040 _aMAIN
041 _aEnglish
082 _a345.730268
_bWAN/INS
100 _aWang, William K.S.
245 _aInsider Trading
_cby William K.S. Wang & Marc I. Steinberg.
250 _a3rd ed.
260 _aNew york :
_bO.U.P.,
_c2010.
300 _a1147 p.
500 _aTable of Contents: Chapter 1. Introduction Chapter 2. Impact on Society, the Issuer, and the Insider Trader's Employer Chapter 3. The Harm to Individual Investors from a Specific Insider Trade Chapter 4. Some Basic Elements of Insider Trading Liability Under Section 10(b) and Rule 10b-5 Chapter 5. Those Who Violate Section 10(b) and Rule 10b-5 by Insider Trading or Tipping Chapter 6. The Rule 10b 5 Private Plaintiffs Who Can Sue a Stock Market Insider Trader for Damages Chapter 7. Government Enforcement Chapter 8. The ALI's Federal Securities Code Chapter 9. Rule 14e-3: Insider Trading or Tipping in the Tender Offer Context Chapter 10. Section 17(a) of the Securities Act of 1933 Chapter 11. The Federal Mail and Wire Fraud Statutes Chapter 12. Black-Out Periods Chapter 13. Compliance Programs Chapter 14. Insider Trading Under Section 16 Chapter 15. State Common Law and State Law Claim by Issuer
650 _aCriminal law.
700 _aSteinberg, Marc I..
942 _cBK
999 _c9762
_d9762