共 50 条
- [33] DISCLOSURE REQUIREMENTS UNDER FEDERAL SECURITIES-REGULATION BUSINESS LAWYER, 1961, 16 (02): : 300 - 320
- [34] Controlling person liability under section 20(a) of the Securities Exchange Act and section 15 of the Securities Act BUSINESS LAWYER, 1997, 53 (01): : 1 - +
- [35] CONTROL OF SPECULATION UNDER THE SECURITIES EXCHANGE ACT AMERICAN ECONOMIC REVIEW, 1937, 27 (01): : 274 - 283
- [36] PROSPECTIVE INTERPRETATIVE RULE-MAKING BY SECURITIES AND EXCHANGE COMMISSION UNDER SECURITIES ACT OF 1933 AND SECURITIES EXCHANGE ACT OF 1934 BUSINESS LAWYER, 1970, 25 (04): : 1581 - 1616
- [39] EFFECTUATING DISCLOSURE UNDER THE WILLIAMS ACT CATHOLIC UNIVERSITY LAW REVIEW, 2011, 60 (02): : 311 - 355