Nicht lieferbar
Insider Trading - Wang, William; Steinberg, Marc
Schade – dieser Artikel ist leider ausverkauft. Sobald wir wissen, ob und wann der Artikel wieder verfügbar ist, informieren wir Sie an dieser Stelle.
  • Gebundenes Buch

Congress, the Department of Justice (DOJ) and the Securities and Exchange Commission (SEC) have heightened their scrutiny of the trading of stock in the aftermath of recent corporate misconduct scandals. Some cases reach celebrity status (e.g., Martha Stewart) and lawyers practicing and advising corporations on internal trades need to stay abreast of the details and intricacies of these transactions. Insider Trading, a single volume in its third edition, has already received high praise for its comprehensive treatment of insider trading. This new edition is fully updated and serves as the…mehr

Produktbeschreibung
Congress, the Department of Justice (DOJ) and the Securities and Exchange Commission (SEC) have heightened their scrutiny of the trading of stock in the aftermath of recent corporate misconduct scandals. Some cases reach celebrity status (e.g., Martha Stewart) and lawyers practicing and advising corporations on internal trades need to stay abreast of the details and intricacies of these transactions. Insider Trading, a single volume in its third edition, has already received high praise for its comprehensive treatment of insider trading. This new edition is fully updated and serves as the go-to treatise for securities practitioners, in-house counsel, and any attorney looking for clear and comprehensive information on insider trading liability.
Autorenporträt
Professor Wang has completed a four-year term as a member of the NASD/FINRA National Adjudicatory Council and teaches courses in Corporations and Corporate Finance at the University of California, Hastings College of Law. He has served as a consultant to law firms and as a full-time consultant to the White House Domestic Policy Staff. Professor Steinberg is the Director of SMU's Corporate Directors' Institute, was an enforcement attorney at the U.S. Securities and Exchange Commission, has authored more than 125 law review articles as well as twenty books, is editor-in-chief of The International Lawyer and The Securities Regulation Law Journal, and is an adviser to The Journal of Corporation Law and Law