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Course Description

In this course, students further their examination of securities and corporate governance, building on knowledge and skills gained in Securities Law 1. Students explore exempt market transactions, takeover bids, and strategies and regulations surrounding these corporate actions. Additionally, students discuss insider trading, and the role of corporate governance in maintaining market integrity and protecting investors.
 

Prerequisites

LEGL 2651

Relevant Programs

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Thank you for your interest in this course. Enrollment is currently not opened for this course, but we’re excited to help you take the next step. Please complete a Course Inquiry so that we may promptly notify you when enrollment opens, we will also notify you of any available sections which are not publicly advertised.