Booth v Peavey Co Commodity Services
|
430 F2d 132
|
United States Court of Appeals, Eighth Circuit
|
United States
|
27 Aug 1970
|
WorldLII
|
|
16
|
"Churning by Securities Dealers"
|
80 Harvard Law Review 869
|
Harvard Law Review
|
United States
|
|
HeinOnline / LexisNexis
|
|
15
|
Arkla Exploration Co v Boren Arkla Exploration Co
|
411 F2d 879
|
United States Court of Appeals, Eighth Circuit
|
United States
|
10 Jun 1969
|
WorldLII
|
|
11
|
Financial Corporation of America Shareholder Litigation Elias Cm v Arthur Andersen & Co
|
796 F2d 1126
|
United States Court of Appeals, Ninth Circuit
|
United States
|
11 Aug 1986
|
WorldLII
|
|
10
|
Landry v Hemphill Noyes & Co a Landry
|
473 F2d 365; 35 ALRFed 367
|
United States Court of Appeals, First Circuit
|
United States
|
7 Feb 1973
|
WorldLII
|
|
10
|
v-M Corporation v Bernard Distributing Co
|
447 F2d 864
|
United States Court of Appeals, Seventh Circuit
|
United States
|
22 Jul 1971
|
WorldLII
|
|
9
|
Rouse v Chicago Rock Island and Pacific Railroad Co
|
474 F2d 1180
|
United States Court of Appeals, Eighth Circuit
|
United States
|
1 Mar 1973
|
WorldLII
|
|
8
|
Lowrance v J Hacker
|
866 F2d 950
|
United States Court of Appeals, Seventh Circuit
|
United States
|
26 Jan 1989
|
WorldLII
|
|
4
|
Oj Hotmar v Lowell H Listrom & Co Inc J
|
808 F2d 1384; 55 USLW 2412
|
United States Court of Appeals, Tenth Circuit
|
United States
|
7 Jan 1987
|
WorldLII
|
|
4
|
Ocrant v Dean Witter & Co Inc
|
502 F2d 854
|
United States Court of Appeals, Tenth Circuit
|
United States
|
18 Sep 1974
|
WorldLII
|
|
4
|
Merrill Lynch, Pierce, Fenner & Smith, Inc v Bocock
|
247 FSupp 373
|
|
United States
|
circa 1987
|
Westlaw
|
|
4
|
57 Cornell Law Review 869
|
57 Cornell Law Review 869
|
Cornell Law Review
|
United States
|
circa 1987
|
HeinOnline / LexisNexis
|
|
3
|
First City Securities Incorporated v Shaltiel
|
44 F3d 529
|
United States Court of Appeals, Seventh Circuit
|
United States
|
5 Jan 1995
|
WorldLII
|
|
2
|
Prudence Co v Fidelity & Deposit Co of Md
|
297 US 198; 80 L Ed 581; 56 SCt 387; 80 L Ed 2d 581
|
United States Supreme Court
|
United States
|
3 Feb 1936
|
WorldLII
|
|
2
|
428 FSupp 1271
|
428 FSupp 1271
|
|
United States
|
circa 1995
|
Westlaw
|
|
2
|
Marshak v Blyth Eastman Dillon & Co , Inc
|
413 FSupp 377
|
|
United States
|
|
Westlaw
|
|
2
|
32 ALR 3d 635
|
32 ALR 3d 635
|
|
United States
|
|
|
|
1
|
"Professional Responsibilities and Fiduciary Obligations of Securities Brokers"
|
(1991) 14 University of New South Wales Law Journal 98
|
Black, Ashley
|
Australia
|
circa 1991
|
AustLII
|
|
|