| Securities Offering Reform-101 |
9th Annual Federal Securities Law Forum, Pennsylvania Bar Institute |
2006 |
| Another Mutation of Section 12(a)(2) — The SEC's Securities Act Reform Proposals |
Annual Federal Securities Law Forum, Pennsylvania Bar Institute |
2005 |
| Insider Trading OK’d Without Confidentiality Agreement |
Unknown |
2003 |
| A Worthy Restoration Project - Implication of a Private Remedy Under Section 17(a) of the Securities Act of 1933 |
CCH Securities Regulatory Update |
2002 |
| Is "Fair Dealing" Required When Freezing Out Minority Stockholders? |
Unknown |
2001 |
| Insider and Outsider Liability for Trading on Material Nonpublic Information |
4th Annual Federal Securities Law Forum, Pennsylvania Bar Institute |
2001 |
| New Requirements for Audit Committees |
Unknown |
2000 |
| Enhancements to the Role of the Audit Committee |
3rd Annual Federal Securities Law Forum, Pennsylvania Bar Institute |
2000 |
| Safe Harbors in Cyberspace Measures for Avoidance of Securities Law Liabilities |
Unknown |
1999 |
| Safe Harbors in Cyberspace |
2nd Annual Federal Securities Law Forum, Pennsylvania Bar Institute |
1999 |
| Supreme Court Decisions Make it Harder to Sue for Securities Fraud |
Unknown |
1996 |
| Why Corporations Need to Develop a Legal Compliance Code |
Unknown |
1995 |
| SEC Changes Bring Equity Markets to Small Business |
Allegheny Business News |
1992 |
| The Law of Securities Regulation |
The Journal of Law and Commerce, University of Pittsburgh School of Law (Vol. 7, Issue 1, 1987) |
1987 |
| 06-17-2003 |
Unknown |
|