Securities Litigation and Enforcement: Cases and Materials, 3rd edtion
This casebook focuses on federal securities litigation and enforcement, an area of law that burgeoned after the accounting and corporate governance scandals at Enron, WorldCom, and other large corporations. The third edition incorporates a host of important developments since 2007, including: the collapses of Lehman Brothers and Bear Stearns, as well as other aspects of the 2008 financial crisis; the massive Ponzi scheme perpetrated by Bernard Madoff; the Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010 and recent SEC rulemaking thereunder; and major Supreme Court decisions such as Janus Capital Group, Inc. v. First Derivative Traders and Morrison v. National Australia Bank, Ltd
St. Paul, MN
Securities-United States-Cases, Securities fraud-United States-Cases
Law | Securities Law
Nagy, Donna M.; Painter, Richard W.; and Sachs, Margaret V., "Securities Litigation and Enforcement: Cases and Materials, 3rd edtion" (2012). Books by Maurer Faculty. 52.