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Securities Regulation by  Louis Loss, Joel Seligman, Troy Paredes

Cited 37 Times by the Supreme Court with Countless Citations by the Lower Federal Courts!
Securities Regulation
by Louis Loss, Joel Seligman, Troy Paredes
List Price: $2,725.00  
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Imprint: Aspen Publishers
ISBN: 9780316533430
Hardcover: 5,740 pages
Publication Cycle: Supplemented annually
Last Updated: 5/10/2013
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The universally acknowledged work Securities Regulation is of immense day-to-day value to the practitioner. The authors' analysis of all relevant statutes plus thousands of cases, SEC administrative decisions and letters definitively clarifies such questions as:
  • When does a note fall within the definition of a "security"
  • How have the courts altered the express civil liability provisions of the federal securities laws?
  • Can the SEC impose additional ten-day suspensions on trading without notice?
  • Does scienter include reckless as well as intentional conduct?
  • And countless others, so that you're almost sure to find coverage of the "small point" on which your case may turn.

And with all its amazing depth and scope, Securities Regulation continues to be the current authority on all of today's issues, with detailed coverage of:

  • The Sarbanes-Oxley Act
  • The SEC's disclosure requirements
  • Internet securities trading
  • Margin accounts
  • The SEC's safe harbor initiatives
  • SRO voting rights standards
  • Regulation FD and selective disclosure of material non-public information
  • SEC amendments to the tender offer, proxy, and merger rules
  • Arbitrability of securities disputes
  • And much more.


Volume I

  • Chapter 1: Background of the SEC Statutes
  • Chapter 2: Federal Regulation of the Distribution of Securities

Volume II

  • Chapter 2: Federal Regulation of the Distribution of Securities (continued)
  • Chapter 3: Coverage of the Securities Act of 1933: Definitions and Exemptions

Volume III

  • Chapter 3: Coverage of the Securities Act of 1933: Definitions and Exemptions (continued)

Volume IV

  • Chapter 4: Protective Committee Reform: The Trust Indenture Act of 1939 and SEC Functions Under the Bankruptcy Code
  • Chapter 5: Control Concepts Under the SEC Statutes
  • Chapter 6: Registration and Postregistration Provisions of the 1934 Act

Volume V

  • Chapter 6: Registration and Postregistration Provisions of the 1934 Act (continued)
  • Chapter 7: Regulation of the Securities Markets

Volume VI

  • Chapter 7: Regulation of the Securities Markets (continued)
  • Chapter 8: Regulation of Brokers, Dealers, and Investment Advisors

Volume VII

  • Chapter 8: Regulation of Brokers, Dealers, and Investment Advisors (continued)
  • Chapter 9: Fraud

Volume VIII

  • Chapter 9: Fraud (continued)
  • Chapter 10: Manipulation

Volume IX

  • Chapter 10: Manipulation (continued)
  • Chapter 11: Civil Liability

Volume X

  • Chapter 11: Civil Liability (continued).
  • Chapter 12: Government Litigation
  • Chapter 13: SEC Administration Law
  • Chapter 14: Conflict of Laws, Procedural Aspects, and Globalization

Volume XI

  • Table of Cases
  • Table of No-Action and Interpretative Letters
  • Table of SEC Releases
  • Table of Statutory Citations
  • Table of Rule Citations
  • Table of Regulation FD Citations
  • Table of Regulation M-A Item Citations
  • Table of Regulation S-K Item Citations
  • Table of Form Citations
  • Index

Fundamentals of Securities Regulation, Sixth Edition by  Louis Loss, Joel Seligman, Troy Paredes

Fundamentals of Securities Regulation, Sixth Edition
Joel Seligman, Troy Paredes, the late Louis Loss
Fundamentals of Securities Regulation, Sixth Edition gives you quick access to the law of securities regulation as derived from the eleven-volume, landmark treatise Securities Regulation . This consolidated, two-volume set distills the essence of Loss, Seligman, and Paredes’ master work more...
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| Price: $375.00 | ISBN: 9781454801993 | Format: Hardcover 
Imprint: Aspen Publishers 

Corporate Financial Disclosure Answer Book by Steven Mark Levy

Corporate Financial Disclosure Answer Book
Steven Mark Levy
Federal law requires public companies to disclose financial and other information in accordance with strict standards, including thousands of SEC, FASB, PCAOB, and stock exchange pronouncements. Disclosure must be in a prospectus, as well as in annual and quarterly reports and proxy statements file more...
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| Price: $338.00 | ISBN: 9780735594005 | Format: Looseleaf 
Imprint: Aspen Publishers 

Derivatives Regulation by Philip McBride Johnson, Thomas Lee Hazen

Derivatives Regulation
Philip McBride Johnson, Thomas Lee Hazen
For over a quarter century, Commodities Regulation has been recognized as the resource covering the derivatives marketplace. Today, Derivatives Regulation builds on that expertise, delivering the coverage professionals and practitioners need in order to stay current with this changing topic. De more...
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| Price: $618.00 | ISBN: 9780735533363 | Format: Hardcover 
Imprint: Aspen Publishers 

Federal Money Laundering Regulation: Banking, Corporate and Securities Compliance by Steven Mark Levy

Federal Money Laundering Regulation: Banking, Corporate and Securities Compliance
Steven Mark Levy
Federal Money Laundering Regulation: Banking, Corporate and Securities Compliance is your complete guide to understanding and complying with all U.S. statutes, regulations and court decisions governing money laundering activity. This valuable desk reference provides in-depth analysis and guid more...
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| Price: $332.00 | ISBN: 9780735543508 | Format: Looseleaf 
Imprint: Aspen Publishers 

Insights: The Corporate and Securities Law Advisor by Amy L. Goodman, Esq.

Insights: The Corporate and Securities Law Advisor
Amy L. Goodman, Esq.
For more than two decades, Insights: The Corporate & Securities Law Advisor has provided a direct pipeline to the latest developments in corporate and securities law on the state, national and international levels. Each month, this timely and informative journal scours the globe to report more...
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| Price: $835.00 | PIN: SS08943524 | Format: Paperback 
Imprint: Aspen Publishers 

Investment Lawyer: Covering Legal and Regulatory Issues of Asset Management by Stephanie Djinis

Investment Lawyer: Covering Legal and Regulatory Issues of Asset Management
Stephanie Djinis
Asset management is one of the fastest growing and most highly regulated industries in America. Practitioners need practical answers to complex questions and up-to-the-minute reporting on regulatory and industry developments. The Investment Lawyer is the first and only legal publication devoted excl more...
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| Price: $665.00 | PIN: SS10754512 | Format: Paperback 
Imprint: Aspen Publishers 

Practical Guide To Section 16, Fourth Edition by Stanton P. Eigenbrodt, General Editor

Practical Guide To Section 16, Fourth Edition
Stanton P. Eigenbrodt, General Editor
Rely on the expertise of 15 securities professionals for everything you need to know and do under the Section 16 rules. Compliance is easy with this convenient manual to guide you step-by-step through every phase of the Section 16 reporting scheme. You'll find detailed answers to such questions a more...
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| Price: $383.00 | ISBN: 9780735541122 | Format: Looseleaf 
Imprint: Aspen Publishers 

Regulation of Money Managers: Mutual Funds and Advisers, Second Edition by Tamar Frankel, Ann Taylor Schwing

Regulation of Money Managers: Mutual Funds and Advisers, Second Edition
Tamar Frankel, Ann Taylor Schwing
Widely regarded as the most comprehensive and penetrating analysis of the regulation surrounding investment advisers and companies, The Regulation of Money Managers, Second Edition provides unsurpassed guidance for legal counsel in the field. Newly revised and now in a looseleaf format, Th more...
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| Price: $1,088.00 | ISBN: 9780735518452 | Format: Looseleaf 
Imprint: Aspen Publishers 

Securities Act Handbook by

Securities Act Handbook
Virtually the entire library of U.S. securities laws and regulations in a single-source format is now available from Aspen Publishers. The Securities Act Handbook includes U.S. securities acts and SEC regulations, rules, and key forms. Provided in a sturdy ring binder format, the Securities Act more...
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| Price: $604.00 | ISBN: 9781886100022 | Format: Looseleaf 
Imprint: Aspen Publishers