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PUBLICATIONS
ROBERT C. ROSEN
Treatises
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International Securities
Regulation; General
Editor, West Publishing (8 volumes)
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ISR: Stock Exchanges of the World;
General Editor, West Publishing (4 volumes)
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International Securities
Regulation: Pacific Rim;
Co-General Editor, West Publishing (4 volumes)
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Commercial Business and Trade
Laws; India,
Author/Editor, Oceana Publications, Inc. - 1982 (1 Volume)
Periodicals
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Overview of Securities Regulation
in Cyberspace,
delivered at and published in the course materials of the 30th
Annual Securities Regulation Seminar, Los Angeles, October, 1997.
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Internationalization of the U.S.
Securities Markets: Rule 144A and Efforts To Establish Formal
Trading Markets, The
California International Practitioner, January, 1993,
(Publication of the International Law Section of the California
State Bar Association).
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Internationalization of the U.S.
Securities Markets and its Global Impact,
delivered at and published in the course materials of the Philippine
S.E.C. Institute Inaugural Conference, Manila - July 28-30, 1992,
co-author.
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Stockbrokers and Insider Trading:
How to Avoid Liability, Financial Planning on Wall Street, August,
1992, co-author.
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Insider Trading Dangers,
The Corporate Board, The Journal of Corporate Governance,
September, 1992
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An Accountant's Guide to the
S.E.C.'s New Insider Trading Regulations, The CPA Journal
(N.Y. Society of CPA's), January, 1993, co-author.
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Insider Trading Regulation: A
Short Course in U.S. Law and an Outline in Selected Countries,
delivered at and published in the course materials of the Philippine
S.E.C. Institute Inaugural Conference, Manila, July 28-30, 1992,
co-author.
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Recent SEC International
Initiatives and Their Impact on Domestic & Foreign Securities
Markets, co-author,
delivered at Los Angeles County Bar Association Program on
International Securities Offerings, Debt Financing, Technology
Transfers and Joint Ventures, May, 1992, co-author.
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Securitization of Commercial Real
Estate and the Real Estate Exchange: Looking Back on a Decade of
Change -- 1993-2003,
co-author, The REIT Report, Vol. XIII, No. 4, Fall 1993, The
National Association of Real Estate Investment Trusts; published in
the course materials of the 1992 Glendon Tremain Symposium on Recent
Developments of Interest to the Business Lawyer, April 1992, Los
Angeles, and the Institutional Real Estate Letter, July, 1992.
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How the Legal Profession Has
Dropped the Ball on Insider Trading: And What Can Be Done About It,
delivered at and published in the course materials of the 1992
Glendon Tremain Symposium on Recent Developments of Interest to the
Business Lawyer, April, 1992, Los Angeles, co-author.
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Breaking the Mold: The Hybrid
Limited Liability Company -- An Empirical Analysis and Challenge for
Legislative Action,
published in the course materials of the 1992 Glendon Tremain
Symposium on Recent Developments of Interest to the Business Lawyer,
April, 1992, Los Angeles, co-author.
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Law Firm Liability Under the
Federal Securities Laws, INSIGHTS,
Prentice Hall Law & Business, March, 1992, co-author.
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Rule 144A and its Impact on
International Securities Transactions,
delivered at and published in the course materials of the 1990 23rd
Annual Securities Regulations Seminar, Los Angeles.
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The Internationalization of the
U.S. Capital Markets: A Time of Change Led by the Securities &
Exchange Commission,
delivered at and published in the course materials of the 1990
Glendon Tremaine Symposium on Recent Developments of Interest to the
Business Lawyer, April, 1990, Los Angeles.
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Practical Considerations in
Representing Witnesses During an SEC Investigation,
delivered at and published in the course materials of the 20th
Annual Securities Regulation Seminar, October, 1987, Los Angeles.
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The Myth of Self Regulation or the
Dangers of Securities Regulation Without Administration: The Indian
Experience, Journal of Comparative Corporate Law & Securities
Regulation, the
University of Pennsylvania Law School (Vol. 2, No. 4, December,
1979).
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Law & Population Growth in Jamaica,
Fletcher School of Law and Diplomacy, Tufts University, Boston,
Massachusetts (Monograph Series No. 10, 1973).
JOHN B. WALLACE
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Countdown to Trial -
John Wallace, Esq., printed in Los Angeles Lawyer (Nov. 95)
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Labor Code Section 4558
- John Wallace, Esq, Co-Author (1996)
DAVID BLEISTEIN
- "Foreseeability in Chains:
Towards a Rational Analytical Framework for Accident and Medical
Malpractice Cases of Negligent Infliction of Emotional Distress In
California," 29 Loyola Law School, Los Angeles, Rev. 343 (1995)
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