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Home > JOURNALS > Washington and Lee Law Review > WLULR > Vol. 43 (1986) > Iss. 3

 

Volume 43, Issue 3 (1986)

Includes articles from the Annual Review of Securities and Commodities Law.

Prefatory Matter

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Table Of Contents

Articles

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Corporate Takeovers And Corporations: Who Are They For?
Lyman P. Q. Johnson

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Structuring Limited Partnership Offerings Recent Developments
Fred A. Little and Robert A. Robbins

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Legal Opinions In Corporate Transactions: The Opinion That Stock Is Duly Authorized, Validly Issued, Fully Paid And Nonassessable
Scott FitzGibbon and Donald W. Glazer

Notes

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The Tender Offer: In Search Of A Definition

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The Enforceability Of Predispute Arbitration Agreements Under 10(B) And 10B-5 Claims

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Moran And The Poison Pill: A Target'S Savior?

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The Validity Of Sec Rule 3B-9 Which Requires Banks To Register As Broker-Dealers

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The Continuous Ownership Requirement: A Bar To Meritorious Shareholder Derivative Actions?

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Extension Of The Minimum Open Tender Offer Period: Regulation Of Defensive Takeover Tactics Via The Business Judgment Rule

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Defining An "Investment Contract": The Commonality Requirement Of The Howey Test

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Applying The Federal Reserve Board'S Margin Lending Rules To Restrict The Use Of Junk Bonds In Hostile Corporate Takeovers

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The Slaughter Of The Innocent: Disagreement Regarding The Interpretation Of Section 402(A) "Rolls On"

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Down But Not Out-The Lock-Up Option Still Has Legal Punch When Properly Used

 
 
 
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ISSN: 0043-0463

 
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