Publication Date
7-1999
Document Type
Survey Article
Abstract
This Article surveys significant cases decided by the United States Supreme Court and the United States Court of Appeals for the Eleventh Circuit during 1997 and 1998 in the area of securities regulation.
I. APPLICATION OF THE MISAPPROPRIATION THEORY TO LIABILITY UNDER SECTION 10(B) AND RULE 1OB-5; CONFIRMATION OF COMMISSION'S RULEMAKING AUTHORITY UNDER SECTION 14(E)
II. ADOPTION OF THE "USE TEST" IN INSIDER TRADING VIOLATIONS UNDER SECTION 10(B)
III. APPLICATION OF ANTIFRAUD SECURITIES LAWS TO STOCK APPRECIATION RIGHTS
IV. DEFINITION OF "SECURITY"
V. EFFECT OF BANKRUPTCY ON CIVIL DISGORGEMENT AWARD
Recommended Citation
Calhoun, David M. and Brisendine, L. Briley Jr.
(1999)
"Securities Regulation,"
Mercer Law Review: Vol. 50:
No.
4, Article 13.
Available at:
https://digitalcommons.law.mercer.edu/jour_mlr/vol50/iss4/13