Current students must register through the Recorder’s Office, which also oversees student files and posts grades.
Associate Director of Student Affairs
Phone: (812) 855-1888
E-mail: adlanham [at] indiana [dot] edu
Indiana Law students can build their own plan of study by taking classes from a number of different areas, or they can choose an area of focus.
Description This course examines private, SEC, and criminal enforcement of the federal securities laws, with an emphasis on the anti-fraud provisions of the Securities Exchange Act of 1934. Topics include: fraud-on-the-market, enforcement remedies, insider trading, market manipulation, and class action litigation, as well as recent legislative developments. Prerequisite or Co-requisite: Corporations (B653). This course can be taken in the second or third year, and can be taken before or after a course in securities regulation.
Faculty H. Buxbaum, W. Hicks, D. Nagy
|Fall 2013 - 2014||Securities Litigation & Enforcement||Nagy, D.|
|Fall 2011 - 2012||Securities Litigation & Enforcement||Nagy, D.|
|Fall 2010 - 2011||Securities Litigation & Enforcement (syllabus)||Nagy, D.|
|Fall 2009 - 2010||Securities Litigation & Enforcement (site)||Nagy, D.|