Description
This quarterly journal features articles by noted practitioners and scholars in the field of securities regulation law. Provides in-depth coverage of significant trends in legislative, judicial, and regulatory activity. Keep up-to-date on topics such as takeovers, restricted stock plans, corporate disclosure, accountant's liability, SEC practice, and arbitration. For securities specialists, corporate compliance experts, attorneys and accountants representing public companies, securities brokers and dealers, as well as investment bankers and advisors.