The Law of Banking and Financial Institutions, 2008 Statutory Supplement, builds on the strengths of the authors casebook, The Law of Banking and Financial Institutions, by providing relevant coverage of the United States Code and selected provisions of banking legislation in an easy-to-use format. Headings of all statutory subdivisions appear in boldface and top-of-page headers indicate the Act of Congress to which the provisions on that page belong.Included in the 2008 Statutory Supplement:
Sherman and Clayton ActsSecurities Act of 1933 Expanded coverage of Securities Act of 1934Additional provisions from the Investment Company Act of 1940Investment Advisers Act of 1940Selected provisions from Title 12 of The Code of Federal Regulations
|Book:||The Law Of Banking And Financial Institutions 2008, Statutory Supplement|
|Author:||Geoffrey P. Miller Jonathan R. Macey Richard Scott Carnell|
|Publisher:||Aspen Publishers, Inc.|
|Number of Pages:||416|
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