U.S. v. O'Hagan, No. 96-842 (U.S. Supreme Court) (521 U.S. 642; 117 S.Ct. 2199) (June 25, 1997) (Justice Ginsburg)
As stated by the Court, this case involved "the interpretation and enforcement of § 10(b) and § 14(e) of the Securities Exchange Act of 1934, and rules made by the Securities and Exchange Commission pursuant to these provisions, Rule 10b-5 and Rule 14e-3(a). Two prime questions are presented. The first ...
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