ISSN 0024-7081
Articles in Vol. 9, Issue 3, 1978
Vol. 9, Issue 3, 1978
- Table of ContentsJournal Loyola University Chicago Law
- Foreword: Fiduciary Duties - The Search for ContentA. A. Sommer Jr.
- The Use of Mutual Fund Assets to Pay Marketing CostsJohn P. Freeman
- Disinterested Directors, Independent Directors and the Investment Company Act of 1940Joel H. Goldberg
- The Monitoring Committee and Outside Directors' Evolving Duty of CareArthur W. HahnCarol B. Manzoni
- Directed Trustee Liability Under ERISADavid L. HealdJoseph P. Mulhern III
- Delaware: The Race to the Bottom - Is an End in Sight?Charles W. Murdock
- The Comptroller's Regulation - An Illusory Remedy to the Fiduciary Dilemma of National Banks in Light of <i>Slade v. Shearson, Hammill & Co.</i>Diane S. Locandro
- Implied Liability for Violation of Stock Exchange and NASD Rules - After <i>Rolf</i> and <i>Faturik</i>Elizabeth Pendzich
- Employee Stock Ownership Plans: Fiduciary Duties in Loan TransactionsWilliam S. Piper
- The Attorney-Client Privilege in Shareholder Litigation: The Need for a Predictable StandardSara Reingold Leopold
- Broker Dealers, Market Makers and Fiduciary DutiesCarl Wartman
David L. Heald & Joseph P. Mulhern III, Directed Trustee Liability Under ERISA, 9 Loy. U. Chi. L.J. 617 (1978).