This treatise provides examination of the scope and intended application of the fraud, manipulation and trading practice prohibitions of the Commodity Exchange Act. It offers practitioners comprehensive treatment of specific types of fraud, prohibited trade practices, general standards, such as secondary liability and scienter, and many other topics.
1.00-2.13
As noted earlier, a futures commission merchant can be the ''other person'' defrauded under section 4b, as in Daniel J. Shelley.590 Thus, a false report from a floor broker to his or her FCM satisfies that requirement.
This comprehensive two volume treatise on commodities law is directed at the practitioner in the field. A supplement containing the Futures Trading Act of 1982 and amended sections of the...
This two volume looseleaf guidebook on commodities regulation & law discusses regulated markets & exchanges & off-exchangeinstruments. Recent developments in tax, ERISA, antitrust, & other areas that impact on commodities...
This book analyzes the impact of regulation on today's commodity futures trading market by examining the development and growth of both. It addresses the development of regulatory efforts and examines...
Derivatives Regulation: Successor Edition to Commodities Regulation, Third Edition
Regulation of the Commodities Futures and Options Markets
This book is a modest step towards achieving that aim and objective.
This book provides the framework for a course in the law and regulation of derivatives.
This book draws together the various regulations which affect how commodities are traded in the EU, and the relevant domestic regulation in key global jurisdictions.