"High Frequency Trading: A Regulatory Strategy"
|
(2014) 48 University of Richmond Law Review 523
|
University of Richmond Law Review
|
United States
|
circa 2014
|
HeinOnline / LexisNexis
|
|
1
|
DPP (Cth) v JM
|
[2013] HCA 30; (2013) 94 ACSR 1; 298 ALR 615
|
High Court of Australia
|
Australia - Commonwealth
|
circa 2013
|
AustLII
|
|
26
|
"High-Frequency Trading: Should Regulators Do More"
|
(2012) 19 Michigan Telecommunications and Technology Law Review 131
|
Michigan Telecommunications and Technology Law Review
|
United States
|
circa 2012
|
HeinOnline / LexisNexis
|
|
1
|
"Mismatch: The Misuse of Market Efficiency in Market Manipulation Class Actions"
|
(2011) 52 William and Mary Law Review 1111
|
William and Mary Law Review
|
United States
|
circa 2011
|
|
|
1
|
Rosenbeg and Australian Securities and Investments Commission, Re
|
[2010] AATA 654; (2010) 117 ALD 582
|
Administrative Appeals Tribunal
|
Australia
|
31 Aug 2010
|
AustLII
|
|
4
|
R v Chan
|
[2010] VSC 312; (2010) 79 ACSR 189
|
Supreme Court of Victoria
|
Australia - Victoria
|
13 Jul 2010
|
AustLII
|
|
9
|
Musumeci and Australian Securities and Investments Commission, Re
|
[2009] AATA 524; (2009) 109 ALD 677
|
Administrative Appeals Tribunal
|
Australia
|
15 Jul 2009
|
AustLII
|
|
9
|
Initial Public Offering Securities Litigation
|
471 F3d 24
|
United States Court of Appeals, Second Circuit
|
United States
|
5 Dec 2006
|
WorldLII
|
|
7
|
Brown v R
|
[2006] WASCA 145; 202 FLR 98; 58 ACSR 290; 24 ACLC 958
|
Supreme Court of Western Australia - Court of Appeal
|
Australia - Western Australia
|
25 Jul 2006
|
AustLII
|
|
5
|
Donald v Australian Securities and Investments Commission
|
[2000] FCA 1142; (2000) 104 FCR 126; 35 ACSR 383; 18 ACLC 794
|
Federal Court of Australia
|
Australia - Commonwealth
|
10 Oct 2000
|
AustLII
|
|
12
|
ASC v Nomura International Plc
|
(1999) 29 ACSR 473
|
|
Australia
|
circa 1999
|
LexisNexis AU
|
|
5
|
Fame Decorator Agencies Pty Ltd v Jeffries Industries Ltd
|
[1998] NSWSC 157; (1998) 28 ACSR 58; (1998) 16 ACLC 1235
|
Supreme Court of New South Wales
|
Australia - New South Wales
|
8 May 1998
|
AustLII
|
|
29
|
United States v A Mulheren
|
938 F2d 364
|
United States Court of Appeals, Second Circuit
|
United States
|
10 Jul 1991
|
WorldLII
|
|
6
|
"Should the Law Prohibit Manipulation in Financial Markets"
|
(1991) 105 Harvard Law Review 503
|
Harvard Law Review
|
United States
|
circa 1991
|
HeinOnline / LexisNexis
|
|
5
|
North v Marra Developments Ltd
|
[1981] HCA 68; (1981) 148 CLR 42; 37 ALR 341; (1981) 56 ALJR 106; 6 ACLR 386
|
High Court of Australia
|
Australia - Commonwealth
|
9 Dec 1981
|
AustLII
|
|
70
|
Schlick v Penn-Dixie Cement Corporation
|
507 F2d 374
|
United States Court of Appeals, Second Circuit
|
United States
|
31 Oct 1974
|
WorldLII
|
|
81
|
Crane Co v Westinghouse Air Brake Co
|
419 F2d 787
|
United States Court of Appeals, Second Circuit
|
United States
|
7 Mar 1969
|
WorldLII
|
|
48
|
400 US 822
|
400 US 822
|
United States Supreme Court
|
United States
|
circa 1991
|
Westlaw
|
|
67
|
Pennsylvania Supreme Court Davis v Pennzoil Co
|
264 A2d 597; 438 PA 194
|
|
United States
|
|
|
|
2
|