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Persons harmed in securities transactions have a number of private rights of actions. These volumes, which are organized by statutory remedy, analyze the three basic liability provisions of the 1933 Act. In addition, youll find an overview of protected interests, an examination of SEC enforcement actions, a discussion of nonlitigious responses to violations, a review of materially misleading or defective registration statements, an exploration of secondary liability issues and the implied cause of action, and a discussion of the applicability of Rule 10b-5 liability.
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