Dec 04, 2024  
2024-2025 Graduate Catalog 
    
2024-2025 Graduate Catalog

LAW 7606 - Securities Regulation


This course covers the federal regulation of the distribution and sale of stocks and other securities as a means of financing business operations.  Students will closely examine the Securities Act of 1933 and the Securities Exchange Act of 1934.  The course will explore such topics as the definition and nature of securities; the registration and sale of securities to investors; exemptions from registration for public and private offerings; the philosophy of mandatory disclosure rules; the work of the Securities and Exchange Commission; the role of underwriters; civil and criminal liability of corporate issuers, directors, and officers for fraud and manipulation of securities markets; the regulation of brokers and dealers; and the unique professional responsibilities of attorneys who practice in the securities field.  It is recommended that students successfully complete Corporations prior to this course.  Students who enroll in this course must also enroll in the 1-unit Securities Regulation Practice Lab course (please see course description for Lab).   This course is an approved elective for the Business Law certificate. Letter grade. 3 credits