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Volume 64 • Issue 2

Article


Estate Planning and the Reality of Perpetuities Problems Today: Reliance upon Statutory Reform and Saving Clauses is Not Enough

David M. Becker

1986-01-01 Volume 64 • Issue 2 • 287-420

Note


Rule 10b-16 and the Regulation of Margin Accounts

Robert G. Oesch

1986-01-01 Volume 64 • Issue 2 • 609-617

Title VII in Academia: A Critical Analysis of the Judicial Policy of Deference

Andrew M. Staub

1986-01-01 Volume 64 • Issue 2 • 619-634

Class-Based Denials of Hospital Staff Privileges and the Learned Professions Exemption

David M. Coffey

1986-01-01 Volume 64 • Issue 2 • 597-608

Table of Contents


Table of Contents

1986-01-01 Volume 64 • Issue 2

Case Comment


Constitutionality of Limitations on Attorneys' Fees in Medical Malpractice Actions. Roa v. Lodi Medical Group, Inc., 695 P.2d 164 (Cal.)

Laura A. Mellas

1986-01-01 Volume 64 • Issue 2 • 635-644

California's Statutory Limit on Recovery of Noneconomic Damages in Medical Malpractice Actions Does Not Violate Equal Protection. Fein v. Permanente Group, 695 P.2d 665 (Cal.)

Alan J. Wertjes

1986-01-01 Volume 64 • Issue 2 • 645-653

Due Care as a Prerequisite for Protection Under the Business Judgment Rule. Smith v. Van Gorkom, 488 A.2d 858 (Del.)

Karen A. Winn

1986-01-01 Volume 64 • Issue 2 • 655-660

Symposium


Representing Minority Shareholders in Close Corporations Under Modern Business Corporation Acts

Joseph Edward Olson

1986-01-01 Volume 64 • Issue 2 • 507-559

Insider Trading Regulation and the Production of Information: Theory and Evidence

James D. Cox

1986-01-01 Volume 64 • Issue 2 • 475-505

Civil Liability Under the Federal Proxy Rules

William H. Painter

1986-01-01 Volume 64 • Issue 2 • 425-474

Introduction


Introduction

F. Hodge O'Neal

1986-01-01 Volume 64 • Issue 2 • 423-424

Symposium Recent Development


Lowe v. SEC: Guaranteeing the Right to Publish Investment Newsletters Through Statutory Construction

Robert G. Oesch

1986-01-01 Volume 64 • Issue 2 • 577-587

Culpability in Implied Private Actions Under § 17(a): Is Scienter Required After Aaron v. SEC?

Alexander H. Gillespie

1986-01-01 Volume 64 • Issue 2 • 561-566

Modifications of Rules 13e-4 and 14d-8: A Limited Equal Footing Opportunity

Richard L. Green

1986-01-01 Volume 64 • Issue 2 • 567-576

Due Diligence: A Post-Sale of Business Doctrine Method of Avoiding Rule 10b-5 Liability

Sherry Rozell

1986-01-01 Volume 64 • Issue 2 • 589-596