F. Hodge O'Neal Corporate and Securities Law Symposium

Reflections on Dual Regulation of Securities: A Case for Reallocation of Regulatory Responsibilities

Author:

Abstract

I address the scope of state regulatory power that remains given the National Securities Markets Improvement Act of 1996's dictates and prerogatives. I then suggest for consideration significant alterations to the regulatory role traditionally performed by the states.

Keywords: Exclusive & concurrent legislative powers, Blue sky laws, Preemption (Legislative power), Securities law, National Securities Markets Improvement Act of 1996

How to Cite: Warren, M. G., III (2000) “Reflections on Dual Regulation of Securities: A Case for Reallocation of Regulatory Responsibilities”, Washington University Law Review. 78(2).