LDR | | 01013camk 00205 i |
001 | | 000000007837 |
005 | | 20151209204336 |
008 | | 910513s1991 us 000 0 eng d |
049 | |
▼a KIC
▼l 11758 |
090 | |
▼a 364.163
▼b .S446I |
110 | |
▼a Securities Law Committee of the Federal Bar Association. |
245 | 0 |
▼a Insider trading, fraud, and fiduciary duty under the federal securities laws :
▼b May 2-3, 1991, Washington, D.C. /
▼d Securities Law Committee of the Federal Bar Association |
260 | |
▼a Philadelphia, Pa:
▼b American Law Institute-American Bar Association Committee on Continuing Professional Education,
▼c 1991 |
300 | |
▼a xii, 584p.,
▼c 28 cm |
500 | |
▼a At head of title: ALI-ABA course of study materials |
504 | |
▼a Includes bibliographical references |
650 | 0 |
▼a Insider trading in securities
▼x law and legislation
▼z US |
650 | 0 |
▼a Securities fraud
▼z US |
710 | 22 |
▼a American Law Institute-American Bar Association Committee on Continuing Professional Education |
740 | 02 |
▼a ALI-ABA course of study materials |