14010500 Regulation.(5: Citations)(Bibliography)
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Y. Amihud and H. Mendelson, 1996, “A New Approach to the Regulation of Trading Across Securities Markets”, New York University Law Review, 71:1411-1466 J. Bizjak and J. Coles, 1995, “The Effect of Private Antitrust Litigation on the Stock-Market Valuation of the Firm”, American Economic Review, 85:436-461 M. Brennan and E. Schwartz, 1982, “Consistent Regulatory Policy Under Uncertainty”, Bell Journal of Economics, 13:506-521 D. Carlton and D. Fischel, 1983, “The Regulation of Insider Trading”, Stanford Law Review, 35:857-895 A. Chen and H. Kang, 1988, “Financial Implications of ERISA–Theory and Evidence”, Journal of Economics and… |