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Regulation of Financial Institutions:
Teaching Materials (1999)

by

Howell E. Jackson
Professor of Law, Harvard Law School

and

Edward L. Symons, Jr.
President, Dollins Symons Management, Inc.

This new casebook provides the framework for an integrated law school course on the regulation of financial institutions, combining materials that traditionally have been covered in separate courses on banking law, insurance law, securities regulation, mutual funds, and pensions. There is no doubt that the financial services industry has become increasingly integrated in the past twenty years and that practitioners in the field must now be familiar with a number of different regulatory structures. Our premise in developing this book is that law school courses should be similarly broadened. To view the casebook's table of contents, click here.

In conjunction with the publication of their casebook, Professors Jackson and Symons have also produced a separate volume, The Regulation of Financial Institutions: Selected Statutes, Regulations, and Forms (1999). This companion volume includes selected statutes and regulations applicable to depository institutions, insurance companies, pension plans, securities firms, capital markets, investment advisers, and investment companies in the United States. To view the supplement's table of contents, click here.

Both the casebook and the statutory supplement can be ordered through West Group's On-Line Store.

 


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