An overview of securities litigation and enforcement
Section 10(b) of the Exchange Act and Rule 10b-5
Liability under the Securities Act for material misstatements, omissions, and fraudulent conduct
Proxy fraud: Section 14(a) of the Exchange Act and Rule 14a-9
Tender offer fraud: Section 14(d) of the Exchange Act
Class actions
Insider trading
Market manipulation
SEC enforcement of the federal securities laws
Enforcement issues involving attorneys and accountants
Criminal enforcement
International securities fraud
Securities arbitration.