700 results on '"shareholders"'
Search Results
2. Toward a True Corporate Republic: A Traditionalist Response to Bebchuk's Solution for Improving Corporate America
3. Director Primacy and Shareholder Disempowerment
4. Letting Shareholders Set the Rules
5. Beyond "Independent" Directors: A Functional Approach to Board Independence
6. Corporate Law. Fiduciary Duties of Directors. Delaware Court of Chancery Finds Disney Directors Not Liable for Approval of an Employment Agreement Providing $140 Million in Termination Payments. In re Walt Disney Co. Derivative Litigation, no. Civ. A. 15452, 2005 WL 2056651 (Del. Ch. Aug. 9, 2005)
7. Delaware's Politics
8. The Case for Federal Threats in Corporate Governance
9. The Case for Increasing Shareholder Power
10. Developments in the Law: Corporations and Society
11. Delaware's Competition
12. Tort as a Debt Market: Agency Costs, Strategic Debt, and Borrowing against the Future
13. Contract Law. Mergers and Acquisitions. Delaware Chancery Court Addresses Default Interpretation of Broadly Written Material Adverse Effect Clauses. In re IBP, Inc. Shareholders Litigation v. Tyson Foods, Inc., No. 18373, 2001 Del. Ch. LEXIS 81 (June 15, 2001)
14. The Internal Affairs Doctrine: Theoretical Justifications and Tentative Explanations for Its Continued Primacy
15. Should the SEC Expand Nonfinancial Disclosure Requirements?
16. The Securities and Exchange Commission and Corporate Social Transparency
17. Using Capital Cash Flows to Value Dissenters' Shares in Appraisal Proceedings
18. Corporate Law. Takeover Defenses. Northern District of Georgia Upholds Continuing Director Provision of Poison Pill. Invacare Corp. v. Healthdyne Technologies, Inc., 968 F. Supp. 1578 (N. D. Ga. 1997)
19. Corporate Law. Appraisal Rights. Delaware Supreme Court Holds That a Minority Shareholder Is Entitled to Value Added during the Interim Period of a Two-Step Takeover. Cede & Co. v. Technicolor, Inc., 684 A.2d 289 (Del. 1996)
20. Taxation. Small Businesses. Congress Reforms Rules for S Corporations. Small Business Job Protection Act of 1996, Pub. L. No. 104-188, §§ 1301-1316, 110 Stat. 1755, 1776 (Amending I. R. C. § 1361 (1994))
21. A Self-Enforcing Model of Corporate Law
22. When Should Courts Allow the Settlement of Duty-of-Loyalty Derivative Suits?
23. DEAL PROCESS DESIGN IN MANAGEMENT BUYOUTS
24. Securities Law — Rule 10B-5 — Ninth Circuit Effectively Eliminates Adverse-Interest Exception as a Defense to Fraud-On-the-Market Claims. — In re ChinaCast Education Corp. Securities Litigation, 809 F.3d 471 (9th Cir. 2015)
25. HORIZONTAL SHAREHOLDING
26. Fifth Amendment — Illegal Exaction — Court of Federal Claims Holds that Government Acquisition of Equity Share in AIG Effected an Illegal Exaction. — Starr International Co. v. United States, 121 Fed. Cl. 428 (2015)
27. First Amendment — Free Exercise of Religion — Tenth Circuit Holds For-Profit Corporate Plaintiffs Likely to Succeed on the Merits of Substantial Burden on Religious Exercise Claim. — Hobby Lobby Stores, Inc. v. Sebelius, 723 F.3d 1114 (10th Cir. 2013)
28. POLITICIANS AS FIDUCIARIES
29. Corporate Law — Mergers and Acquisitions — Delaware Court of Chancery Imposes "Revlon" Duties on Board of Directors in Mixed Cash-Stock Strategic Merger. — In re Smurfit-Stone Container Corp. Shareholder Litigation, No. 6164-VCP, 2011 WL 2028076 (Del. Ch. May 24, 2011)
30. Securities Law — Materiality Requirement — Second Circuit Finds Issuer's Failure to Disclose Loan Impairments Immaterial as a Matter of Law. — Hutchison v. Deutsche Bank Securities Inc., 647 F. 3d 479 (2d Cir. 2011)
31. Administrative Law — Corporate Governance Regulation — D.C. Circuit Finds Sec Proxy Access Rule Arbitrary and Capricious for Inadequate Economic Analysis. — Business Roundtable v. SEC, 647 F. 3d 1144 (D.C. Cir. 2011)
32. Corporate Law — Principal's Liability for Agent's Conduct — New York Court of Appeals Clarifies Standard for Imputability of an Agent's Fraudulent Conduct to Its Principal in the Context of an In Pari Delicto Defense. — Kirschner v. KPMG LLP, 938 N.E.2d 941 (N.Y. 2010)
33. CORPORATE POLITICAL SPEECH: WHO DECIDES?
34. BUNDLING AND ENTRENCHMENT
35. SHAREHOLDER OPPORTUNISM IN A WORLD OF RISKY DEBT
36. The Emerging Problem of Embedded Defenses: Lessons from Air Line Pilots Ass'n, International v. Ual Corp.
37. Not-so-Ordinary Judges in Ordinary Courts: Teaching Jordan v. Duff & Phelps, Inc.
38. Legal Origins, Politics, and Modern Stock Markets
39. Ancillary Remedies in SEC Civil Enforcement Suits
40. Securities Acts. Securities Exchange Act of 1934. Majority Stockholders' Elimination of Minority Through Merger without Legitimate Business Purpose Violates Rule 10b-5 Notwithstanding Full Disclosure. Marshel v. AFW Fabric Corp., 533 F. 2d 1277 (2d Cir.), Petition for Cert. Filed, 44 U. S. L. W. 3720 (U. S. June 8, 1976) (No. 75-1782); Green v. Santa Fe Industries, Inc., 533 F. 2d 1283 (2d Cir.), Petitions for Cert. Filed, 44 U. S. L. W. 3671 (U. S. May 14, 1976) (No. 75-1660) and 44 U. S. L. W. 3720 (U. S. June 2, 1976) (No. 75-1753)
41. Disclosure of Payments to Foreign Government Officials under the Securities Acts
42. Fairness Standards for SEC Approval of Mergers: Collins v. SEC
43. The Duties of the Corporate Debtor to Its Creditors
44. Reflections on "Taxman": An Experiment in Artificial Intelligence and Legal Reasoning
45. The Attorney-Client Privilege: Fixed Rules, Balancing, and Constitutional Entitlement
46. Double Deductions in the Context of Affiliated Corporations: Textron, Inc. v. United States
47. Income Tax. Stock Redemptions. Gift of Shares in Closely-Held Corporation Followed by Redemption of Shares by Donee Does Not Result in Dividend Income to Donor. Carrington v. Commissioner, 476 F. 2d 704 (5th Cir. 1973). Grove v. Commissioner, 73-2 U. S. Tax Cas. ¶ 9591 (2d Cir., July 27, 1973)
48. The Tax Treatment of Bootstrap Stock Acquisitions: The Redemption Route vs. the Dividend Route
49. The Proposed Bankruptcy Act: Changes in the Absolute Priority Rule for Corporate Reorganizations
50. Securities Regulation. Professional Responsibility. An Attorney May Be Enjoined in an Action Brought by the SEC for Negligence in Preparing an Opinion Letter Exempting Stock from Registration under the Securities Act of 1933. SEC v. Spectrum, Ltd., 489 F. 2d 535 (2d Cir. 1973)
Catalog
Books, media, physical & digital resources
Discovery Service for Jio Institute Digital Library
For full access to our library's resources, please sign in.