Ferrara on Insider Trading and The Wall
eBook - ePub

Ferrara on Insider Trading and The Wall

  1. English
  2. ePUB (mobile friendly)
  3. Available on iOS & Android
eBook - ePub

Ferrara on Insider Trading and The Wall

About this book

This valuable book discusses the evolution of the law of insider trading and explores ways in which corporations can use compliance programs to deter wrongdoing, with particular attention to multi-service financial institutions. Ferrara on Insider Trading and The Wall demonstrates how such firms can implement "Chinese Walls" and other procedural devices to prevent employees who acquire material nonpublic information from sharing it with employees who trade securities.

The authors analyze the impact of the Dodd-Frank Wall Street Reform and Consumer Protection Act, the Sarbanes-Oxley Act and SEC regulations regarding selective disclosure and insider trading. They also discuss recent cases and other important developments such as Rule 10b5-1 trading plans and a heightened regulatory focus on hedge funds. In addition, the book provides suggested guidelines for deterring insider trading by employees.

Book #00632; looseleaf, one volume, 890 pages; published in 1995, updated as needed; no additional charge for updates during your subscription. Looseleaf print subscribers receive supplements. The online edition is updated automatically. ISBN: 978-1-58852-069-2.

Information

Year
2026
Topic
Law
eBook ISBN
9781588522573
Subtopic
Criminal Law
Index
Law

Table of contents

  1. Title
  2. Copyright
  3. Dedication
  4. Acknowledgments
  5. Preface
  6. PART ONE: THE LAW OF INSIDER TRADING
  7. CHAPTER 1: An Overview of Insider Trading
  8. CHAPTER 2: The Developing Law
  9. CHAPTER 2A: Prohibitions Beyond Rule 10b-5
  10. CHAPTER 2B: Spotlights on Wall Street and Hedge Funds
  11. CHAPTER 3: Private Rights of Action
  12. CHAPTER 4: Civil and Criminal Insider-Trading Enforcement Remedies
  13. CHAPTER 5: Exchange Surveillance Systems: Elements of the System to Detect Insider Trading
  14. PART TWO: CORPORATE COMPLIANCE PROGRAMS
  15. CHAPTER 6: Legal and Practical Importance of Compliance and Ethics Programs
  16. CHAPTER 7: Corporate Compliance Programs for Securities Issuers: Trading and Corporate Disclosure Issues
  17. PART THREE: INSIDER TRADING AND ULTRA-MARTS
  18. CHAPTER 8: Ultra-Marts and Insider Trading: The Law
  19. CHAPTER 9: Insulation Walls and Other Measures Designed to Segregate Material, Nonpublic Information Within Ultra-Marts
  20. CHAPTER 10: Practical Measures Designed to Detect and Prevent Insider Trading Within Ultra-Marts
  21. Appendices
  22. APPENDIX A: The Insider Trading Sanctions Act, Pub. L. No. 98-376, 98 Stat. 1264 (1984)
  23. APPENDIX B: Insider Trading and Securities Fraud Reinforcement Act, Pub. L. No. 100-704, 102 Stat. 4677 (1988)
  24. APPENDIX C: S. 1380, S. 1380, 100th Cong., 1st Sess. (1987)
  25. APPENDIX D: Securities and Exchange Commission Proposed Legislation “The Insider Trading Act of 1987” and memorandum of Support, submitted to the Subcommittee on Securities, U.S. Senate, August 7, 1987
  26. APPENDIX E: Broker-Dealer Policies and Procedures Designed to Segment the Flow and Prevent the Misuse of Material Nonpublic Information, Division of Market Regulation, U.S. Securities and Exchange Commission, March 1990
  27. APPENDIX F: NASD and NYSE CHINESE WALL POLICIES AND PROCEDURES
  28. APPENDIX G: MATERIALITY MATRIX
  29. APPENDIX H: CASE STUDY: One Ultra-Mart’s Policies and Procedures Against Insider Trading
  30. APPENDIX I: Excerpt from the New York Stock Exchange Listed Company Manual
  31. APPENDIX J: Excerpt from the American Stock Exchange Company Guide
  32. APPENDIX K: Excerpt from Report on Law Firm Policies Relating to Confidentiality and Safeguarding Inside Information, Special Committee of the Business Corporations Law Section of the Los Angeles County Bar Association (1985)
  33. APPENDIX L: Final Rule: Selective Disclosure and Insider Trading, SEC, August 2000
  34. APPENDIX M: Division of Corporate Finance: Manual of Publicly Available Telephone Interpretations, Regarding Regulation FD and Rule 10b5-1 (issued May 2001, December 2000 and October 2000)
  35. APPENDIX N: NASD and NYSE Rulemaking: SEC (Release No. 34-48252; File No. SR-NASD-2002-154; SR-NYSE-2002-49) July 29, 2003
  36. TABLE OF ABBREVIATIONS
  37. INDEX

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Yes, you can access Ferrara on Insider Trading and The Wall by Ralph C. Ferrara,Donna M. Nagy,Herbert Thomas in PDF and/or ePUB format, as well as other popular books in Law & Criminal Law. We have over 1.5 million books available in our catalogue for you to explore.