This foreword describes the symposium in Volume 33, No. 3, which addresses developments in securities regulation during 1995. It describes some history and the articles surrounding the Private Securities Litigation Reform Act of 1995. It also notes three additional areas analyzed in subsequent articles: developments in disclosure requirements, particularly in regard to public offerings; issues for a seller to consider in drafting combination agreements; and the California case of People v. Simon dealing with securities fraud prosecutions.
Bradford D. Duea,
San Diego L. Rev.
Available at: https://digital.sandiego.edu/sdlr/vol33/iss3/2