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Home > JOURNALS > Washington and Lee Law Review > WLULR > Vol. 38 > Iss. 3 (1981)

 

Volume 38, Issue 3 (1981)

Annual Review of Securities and Commodities Law

Prefatory Matter

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Table of Contents

Articles

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Commodity Market Manipulation
Philip McBride Johnson

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The Securities and Exchange Commission's Enforcement Program: A Debate on the Enforcement Process
Monroe H. Freedman and Stanley Sporkin

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An Introduction to the Rules and Regulations Governing National Banks and Their Use of Financial Futures
Jack A. Barbanel

Notes

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Discretionary Commodity Accounts: Are They Securities and Does It Really Matter?

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Rubin v. United States: Pledge of Stock as Collateral for a Commercial Loan is a "Sale" of a Security

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Securities Regulation: Improved Financing Alternatives for Small Issuers

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Rule 10b-5 Developments

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Scienter in SEC Injunctive Proceedings

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Resolving the Conflict Between Section 10(b) and the Express Remedies of the Securities Acts: The Need for an Internally Consistent Approach to Implication

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Section 13(d) pf the '34 Act: The Inference of a Private Cause of Action for a Stock Issuer

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Tender Offer Developments in 1980

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The Validity of 'State Tender Offer Statutes: SEC Rule 14d-2(b) and Post-Kidwell Federal Decisions

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The Scope of the Disclosure Duty under SEC Rule 14e-3

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Parallel Proceedings: The Impact of SEC v. Dresser Industries, Inc.

 
 
 
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ISSN: 0043-0463

 
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