20
Resultados
2013 |
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Germany: Securitisation 2013 |
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by Werner Meier and Michael Kern, The International Comparative Legal Guide to: Securitisation 2013 (Global Legal Group Ltd., London). |
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December 2012 |
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U.S. Regulation of the International Securities and Derivatives Markets |
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by Edward F. Greene, Alan L. Beller, Edward J. Rosen, Leslie N. Silverman, Daniel A. Braverman, Sebastian R. Sperber, Nicolas Grabar (Tenth Ed., Wolters Kluwer, 2012). |
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November/Decemeber 2012 |
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Italy's New Rules on Notes and Commercial Paper |
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by Vania Petrella, Pietro Fioruzzi and Claudio Di Falco, The Banking Law Journal: Vol. 129/Number 10. |
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July 2012 |
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What More Can Be Done to Deter Violations of the Federal SEC Laws? |
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by David M. Becker, Texas Law Review, vol. 90, issue 7. |
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2012 |
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Germany: Securitisation 2012 |
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by Werner Meier and Michael Kern, The International Comparative Legal Guide to: Securitisation 2012 (Global Legal Group Ltd., London). |
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August 2011 |
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Authorizations for Capital Raisings and Convertible Bond Issues (2011) |
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by Gabriele Apfelbacher and Thomas Kopp. |
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2011 |
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Germany: Securitisation 2011 |
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by Werner Meier and Michael Kern, The International Comparative Legal Guide to: Securitisation 2011 (Global Legal Group Ltd., London). |
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July 19, 2010 |
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Fiduciary Duties, Broker-Dealers and Sophisticated Clients: A Mis-Match That Could Only Be Made in Washington |
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by Thomas J. Maloney, Paul R. St. Lawrence III and Angela F. Hamarich, Journal of Securities Law, Regulation and Compliance. |
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July 2010 |
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Know Your Shareholders: The Use of Cash-Settled Equity Derivatives to Hide Corporate Ownership Interests |
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by Eugenio De Nardis (co-author), Director Notes (The Conference Board). |
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April 2010 |
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Investor Engagement in Europe in the Wake of the Shareholder Rights Directive Implementation |
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by Marco Scalera, Director Notes (The Conference Board). |
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2010 |
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European Securities Law |
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edited by Raj Panasar and Philip Boeckman (Oxford University Press, first edition, 2010). |
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2010 |
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The New York Stock Exchange IPO Guide |
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by Nicolas Grabar and Sandra Flow, Caxton 2010. |
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March 30, 2009 |
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The Chamber of Mediation and Arbitration Established at the Premises of Consob: A New Alternative Dispute Resolution Device to Protect Retail Investors |
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by Pietro Fioruzzi and Maria Grazia Mamone, Avvocati24. Il Sole-24 Ore, online edition. |
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January 1, 2009 |
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U. S. Regulation of the International Securities and Derivatives Markets |
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by Edward F. Greene, Alan L. Beller, Edward J. Rosen, Leslie N. Silverman, Daniel A. Braverman and Sebastian R. Sperber (9th edition, Wolters Kluwer, 2009). |
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August 4, 2008 |
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Reinventing the Securities Disclosure Regime: Online Questionnaires as Substitutes for Form-Based Filings |
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by Alan L. Beller and Joseph A. Grundfest |
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June 26, 2008 |
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Book-Entry Deposit Procedures for Certain Offerings by Non-U.S. Issuers under Section 3(c)(7) of the Investment Company Act |
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by Richard S. Lincer, Robin M. Bergen and Jeffrey D. Karpf |
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January 2008 |
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Requirements For Foreign Private Issuers To Terminate U.S. Reporting Obligations |
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by Leslie N. Silverman, Sandra Galvis, and Frances Mejia, World Securities Law Report January 2008, Published by BNA International Inc. |
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June 6, 2007 |
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Securitisation in Germany |
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by Werner Meier and Michael Kern, a chapter in the 2007 edition of The International Comparative Legal Guide to: Securitisation 2007, published by Global Legal Group Ltd., London |
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February 21, 2007 |
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Some Thoughts Regarding Capital Markets Regulatory Reform |
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Remarks of Alan Beller at New York Law School's C.V. Starr Lecture
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July 1, 2005 |
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UKLA Fits EU's Rules to London's Gold Standard |
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by Raj Panasar and Haydn Main, IFLR, pp. 59-62 |
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