Insider trading WK Wang, MI Steinberg Oxford Press, 2010 | 218 | 2010 |
Understanding Securities Law MI Steinberg | 194 | 2018 |
Legitimacy of Defensive Tactics in Tender Offers GG Lynch, MI Steinberg Cornell L. Rev. 64, 901, 1978 | 136 | 1978 |
Reappraisal of Santa Fe: Rule 10b-5 and the New Federalism RC Ferrara, MI Steinberg U. Pa. L. Rev. 129, 263, 1980 | 123 | 1980 |
Securities regulation MI Steinberg | 122 | 2017 |
Implied Private Rights of Action Under Federal Law MI Steinberg Notre Dame Law. 55, 33, 1979 | 106 | 1979 |
Disclosure of Information Bearing on Management Integrity and Competency RC Ferrara, RM Starr, MI Steinberg Nw. UL Rev. 76, 555, 1981 | 97 | 1981 |
The Supreme Court and the Definition of Security: The Context Clause, Investment Contract Analysis, and Their Ramifications MI Steinberg, WE Kaulbach Vand. L. Rev. 40, 489, 1987 | 96 | 1987 |
Disclosure in Global Securities Offerings: Analysis of Jurisdictional Approaches, Commonality and Reciprocity MI Steinberg, LE Michaels Mich. J. Int'l L. 20, 207, 1998 | 87 | 1998 |
The limited liability company as a security MI Steinberg, KL Conway | 75 | 1992 |
Ramifications of Recent US Supreme Court Decisions on Federal and State Securities Regulation MI Steinberg Notre Dame L. Rev. 70, 489, 1994 | 73 | 1994 |
SEC and Other Permanent Injunctions-Standards for Their Imposition Modification and Dissolution MI Steinberg Cornell L. Rev. 66, 27, 1980 | 68 | 1980 |
Section 17 (a) of the Securities Act of 1933 after Naftalin and Redington MI Steinberg Geo. LJ 68, 163, 1979 | 68 | 1979 |
Compliance programs for insider trading MI Steinberg, J Fletcher SMUL Rev. 47, 1783, 1993 | 67 | 1993 |
Accountants' Liability and Responsibility: Securities, Criminal and Commmon Law SH Gruenbaum, MI Steinberg Loy. LAL REv. 13, 247, 1979 | 65 | 1979 |
Section 29 (b) of the Securities Exchange Act of 1934: A Viable Remedy Awakened SH Gruenbaum, MI Steinberg Geo. Wash. L. Rev. 48, 1, 1979 | 61 | 1979 |
The Evisceration of the Duty of Care MI Steinberg SW LJ 42, 919, 1988 | 60 | 1988 |
Attorney Conflicts of Interest: The Need for a Coherent Framework MI Steinberg, TU Sharpe Notre Dame L. Rev. 66, 1, 1990 | 59 | 1990 |
Attorney Fee Schedules and Legal Advertising: The Implications of Goldfarb JG Branca, MI Steinberg UCLA L. Rev. 24, 475, 1976 | 57 | 1976 |
Insider Trading, Selective Disclosure, and Prompt Disclosure: A Comparative Analysis MI Steinberg U. Pa. J. Int'l Econ. L. 22, 635, 2001 | 56 | 2001 |