Volume 55, Number 4 (Autumn 1992)
International Regulatory Competition and the Securities Laws
James D. Cox and Gary Lynch
Special Editors
Preliminary
Articles
Automation of Securities Markets and the European Community’s Proposed Investment Services Directive
Norman S. Poser
29
Alan L. Beller, Tsunemasa Terai, and Richard M. Levine
77
Alexander Belozertsev and Jerry W. Markham
119
Rethinking U.S. Securities Laws in the Shadow of International Regulatory Competition
James D. Cox
157
Games Without Frontiers: Trends in the International Response to Insider Trading
Harvey L. Pitt and David B. Hardison
199
Defining Illegal Insider Trading—Lessons From the European Community Directive on Insider Trading
Thomas Lee Hazen
231
Donald C. Langevoort
241
Michael D. Mann, Paul A. Leder, and Elizabeth Jacobs
303
Cross-Border Investment, Conflict of Laws, and the Privatization of Securities Law
Robert W. Hillman
331
The Disinterested Person: An Alternative Approach to Shareholder Derivative Litigation
Joel Seligman
357
Glenn R. Sarno
379
Civil Liability for Primary Securities Distributions in the United States and the United Kingdom
Robert E. Kohn
399