This Article analyzes the importance of trust in securities investing and how guilt about breaching such trust has implications for securities regulation. Both U.S. federal securities laws and the regulations of the National Association of Securities Dealers impose high standards of professional conduct upon securities professionals. But exactly what are and should be the legal responsibilities of securities professionals remain the subject of much debate. In particular, courts disagree over when broker-dealers are fiduciaries of their clients. A legal consequence of a fiduciary relationship is a duty of fair dealing. This Article is the first to analyze the emotional, moral, and psychological consequences of broker-dealers\u27 being fiduci...
With the boom and bust of the twenties and thirties, there developed a new legal concept-regulation ...
Although the Securities and Exchange Commission is the primary securities regulator in the United St...
Under the mandate of the Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010, the SEC ...
This Article analyzes the importance of trust in securities investing and how guilt about breaching ...
This Article advocates that securities regulators promulgate rules based upon taking into considerat...
In the last two decades, massive financial scandals have impaired the integrity of the financial mar...
The purpose of this Article is to stress the need for grounding broker-dealer duties in sound, artic...
Investment professionals are subject to varying standards of conduct when providing advice to client...
Under the mandate of Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010, the SEC is s...
This Article examines the dilemma of a fiduciary acting for parties who, as among themselves, have c...
The article discusses the significance of trust in the U.S. financial regulation. Trust is reportedl...
The article discusses fiduciary obligation that broker-dealers and investment advisers owe their cli...
(Excerpt) The celebrated jurist Benjamin Cardozo opined that the fiduciary duty is “the duty of fine...
This Article posits that the essential role of securities regulations is to create a competitive mar...
Enron, Arthur Andersen, Tyco, ImClone, WorldCom, Adelphia - as American investors reel from accounti...
With the boom and bust of the twenties and thirties, there developed a new legal concept-regulation ...
Although the Securities and Exchange Commission is the primary securities regulator in the United St...
Under the mandate of the Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010, the SEC ...
This Article analyzes the importance of trust in securities investing and how guilt about breaching ...
This Article advocates that securities regulators promulgate rules based upon taking into considerat...
In the last two decades, massive financial scandals have impaired the integrity of the financial mar...
The purpose of this Article is to stress the need for grounding broker-dealer duties in sound, artic...
Investment professionals are subject to varying standards of conduct when providing advice to client...
Under the mandate of Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010, the SEC is s...
This Article examines the dilemma of a fiduciary acting for parties who, as among themselves, have c...
The article discusses the significance of trust in the U.S. financial regulation. Trust is reportedl...
The article discusses fiduciary obligation that broker-dealers and investment advisers owe their cli...
(Excerpt) The celebrated jurist Benjamin Cardozo opined that the fiduciary duty is “the duty of fine...
This Article posits that the essential role of securities regulations is to create a competitive mar...
Enron, Arthur Andersen, Tyco, ImClone, WorldCom, Adelphia - as American investors reel from accounti...
With the boom and bust of the twenties and thirties, there developed a new legal concept-regulation ...
Although the Securities and Exchange Commission is the primary securities regulator in the United St...
Under the mandate of the Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010, the SEC ...