Sebastian R. Sperber

Partner

London
T: +44 20 7614 2237
F: +44 20 7600 1698
ssperber@cgsh.com

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Veröffentlichungen

U.S. Regulation of the International Securities and Derivatives Markets (10th Edition, 2011) (co-author)

"Precedents Codified," International Financial Law Review (November 2008), page 48 (co-author)

U.S. Regulation of the International Securities and Derivatives Markets (9th Edition, 2008) (co-author)

“What a Relief,” International Financial Law Review (May 2007), page 40

U.S. Regulation of the International Securities and Derivatives Markets (8th Edition, 2006) (co-author)

U.S. Regulation of the International Securities and Derivatives Markets (7th Edition, 2004) (co-author)

The Sarbanes-Oxley Act of 2002: Analysis and Practice (2003) (co-author)

“Fair Disclosure: What Issuers Can Learn from SEC Actions,” International Financial Law Review (Jan. 2003), page 23 (co-author)

U.S. Regulation of the International Securities and Derivatives Markets (Sixth Edition Special Supplement 2003) (co-author)

“SEC Permits Internet-Only Communication,” International Financial Law Review (Apr. 2002), page 46 (co-author)

“SEC Targets Post-Enron Financial Disclosure,” International Financial Law Review (Mar. 2002), page 28 (co-author)

U.S. Regulation of the International Securities and Derivatives Markets (6th Edition, 2002) (co-author)

“SEC to Roll Out Edgar to Non-US Issuers,” International Financial Law Review (Dec. 2001), page 43 (co-author)

U.S. Regulation of the International Securities and Derivatives Markets (5th Edition, 2000) (co-author)

“Important Disclosure Issues for Non-US Companies Seeking A US Listing,” Chapter 6 of A Practitioner’s Guide to the EASDAQ Rules (1999/2000 Edition), pages 137-209 (co-author)

“Gustafson Revisited,” European Financial Services Law (Oct. 1996), page 273

“Securities Offerings and the ‘Net’,” European Financial Services Law (Jan. 1996), page 23
(co-author)

“Increasing the Pace of Change: A Proposal for a New US Securities Regulatory Regime,” European Financial Services Law (Aug./Sept. 1995), page 229 (co-author)

“The Gustafson Case and Diligence and Disclosure in US Private Placements,” European Financial Services Law (June 1995), page 167 (co-author)

“Exemptions from US Trading Rules for Highly-Capitalised UK Companies,” European Financial Services Law (May 1995), page 136 (co-author)

“Hegemony or Deference: U.S. Disclosure Requirements in the International Capital Markets,” The Business Lawyer (Feb. 1995), page 413 (co-author)

“Rule 144A: Room for Improvement,” Insights (Feb. 1993), page 30 (co-author)