Great Western Food Distributors, Inc. V. Brannan
Author :
Publisher :
Page : 418 pages
File Size : 23,10 MB
Release : 1952
Category :
ISBN :
Author :
Publisher :
Page : 418 pages
File Size : 23,10 MB
Release : 1952
Category :
ISBN :
Author :
Publisher :
Page : 172 pages
File Size : 31,29 MB
Release : 1957
Category :
ISBN :
Author : United States. Department of Agriculture
Publisher :
Page : 1016 pages
File Size : 33,66 MB
Release : 1987
Category : Agricultural laws and legislation
ISBN :
Up to 1988, the December issue contains a cumulative list of decisions reported for the year, by act, docket numbers arranged in consecutive order, and cumulative subject-index, by act.
Author : United States. Securities and Exchange Commission
Publisher :
Page : 918 pages
File Size : 33,92 MB
Release : 1956
Category : Securities
ISBN :
Author : S. Craig Pirrong
Publisher : Springer Science & Business Media
Page : 269 pages
File Size : 14,32 MB
Release : 2012-12-06
Category : Business & Economics
ISBN : 1461562597
Deterrence of market manipulation is central to the entire regulatory and legal framework governing the operation of American commodity futures markets. However, despite all of the regulatory, scholarly, and legal scrutiny of market manipulation, the subject is widely misunderstood. Federal commodity and securities laws prohibit manipulation, but do not define it. Scholarly research has failed to analyze adequately the causes or effects of manipulation, and the relevant judicial decisions are confused, confusing, and contradictory. The aim of this book is to illuminate the process of market manipulation by presenting a rigorous economic analysis of this phenomenon, including the conditions that facilitate it and its effects on market users and others. The conclusions of this analysis are used to examine critically some legal and regulatory anti-manipulation policies. The Economics, Law and Public Policy of Market Power Manipulation concludes with a set of robust and realistic tests that regulators and jurists can apply to detect and deter manipulation.
Author : United States. Interstate Commerce Commission
Publisher :
Page : 1084 pages
File Size : 15,53 MB
Release : 1962
Category : Bus lines
ISBN :
Author :
Publisher :
Page : 76 pages
File Size : 33,1 MB
Release : 1953
Category :
ISBN :
Author :
Publisher : American Bar Association
Page : 292 pages
File Size : 12,32 MB
Release : 2009
Category : Antitrust law
ISBN : 9781604425604
This Second edition of the 'Energy Antitrust Handbook' presents a guide to an industry of increasing importance to the U.S. economy. It is written to assist energy, regulatory, and antitrust lawyers in understanding the multilayered complexity of this field by providing a basic background on antitrust issues in the energy industry.
Author :
Publisher :
Page : 120 pages
File Size : 25,25 MB
Release : 1960
Category :
ISBN :
Author : Philip McBride Johnson
Publisher : Wolters Kluwer
Page : 663 pages
File Size : 39,90 MB
Release : 2004-01-01
Category : Business & Economics
ISBN : 0735533369
For over a quarter century, Commodities Regulation has been recognized as the resource covering the derivatives marketplace. Today, Derivatives Regulation builds on that expertise, delivering the coverage professionals and practitioners need in order to stay current with this changing topic. Derivatives Regulation comprehensively covers the Commodity Exchange Act along with all other relevant aspects of the regulation of securities that have an impact on the derivatives markets. Derivatives Regulation is completely updated to cover the full range of emerging regulatory, reporting, and legal issues surrounding derivatives and related instruments, including: Distinguishing between regulated and unregulated derivatives�and knowing which rules to apply The significant roles of the SEC and the federal laws in regulating derivatives Meeting standards for exemption or other relief The workings of the derivatives markets and the rules applicable to trading Registration, reporting, and disclosure requirements applicable to commodities professionals Criteria for publicly traded futures and commodity options Rules governing unprofessional conduct, including the antifraud and anti-manipulation prohibitions Customer protections, the CFTC�s reparations program, arbitration programs, and private rights of action in the courts