Schedule of Classes

Class times for Fall, 2008 have not been released yet.

254A sec. 1 - Securities Regulation I (Fall 2008)

Instructor: Reza Dibadj  
View all teaching evaluations for this course

Units: 2
Meeting Time: -
Meeting Location: -
Course Control Number (Non-1Ls): 49619

The course is an introduction to the Securities Act of 1933 and the Securities and Exchange Act of 1934, and consists of three parts. Part One is an introduction to securities regulation, markets and investors, and mandatory disclosure. Part Two discusses the �33 Act in greater depth: its extent (registration and liability) and boundaries (exemptions and secondary transactions). Part III discusses the �34 Act, with a focus on financial reporting requirements. Current doctrinal and policy debates will be discussed throughout.

Prerequisites:
Corporations I and II (can be waived with instructor permission)

Exam Notes: F
Special Notes: Q
Course Category: Business Law
Course Subcategories:
Public Law and Policy

The following file is available for this course:

First Assignment

If you are the instructor, you may edit your files.

Books:
Books for this term are unavailable.

Go to Course Search