Australian Institute of Criminology

Skip to content

Bibliography

Published in:
Casino capitalism? Insider trading in Australia / R Tomasic
Canberra : Australian Institute of Criminology, 1991
ISBN 0 642 15877 0
(Australian studies in law, crime and justice series) ; pp 147-156


  • Anderson, A.G. 1982, "Fraud, Fiduciaries and Insider Trading", Hofstra Law Review, vol. 1O, p. 341.
  • Andre, G.R. 1984, "Constructive Insider Liability and the Arm's Length Transaction under Footnote 14 of Dirks", George Washington Law Review, vol. 52, p. 872.
  • Andre, T.J. 1980, "Printer who used secret document not an insider says the Supreme Court", The Company Lawyer, vol. 1, p. 313.
  • ----------- 1984, "Insider Trading: A summary of recent developments", The Company Lawyer, vol. 5, p. 102.
  • ----------- 1986, "Insider Trading: Misappropriation doctrine extended to journalists", The Company Lawyer, vol. 3, p. 269.
  • ----------- 1982, "Misappropriation Theory is Adopted for s 10(b) insider trading criminal liability", The Company Lawyer, vol. 3, p. 239.
  • Anisman, P. 1986, Insider Trading Legislation for Australia: An Outline of the Issues and alternatives, AGPS, Canberra.
  • Atiyah, P.S. 1987, Pragmatism and Theory in English Law, Stevens, London.
  • Backhouse, M. 1989, "Insider trading charges against Newton dismissed", Sydney Morning Herald, 3 August.
  • Bailey, S.R. 1975, "Insiders, Insider Information and the Securities Industry Act", Australian Business Law Review, vol. 5, p. 269.
  • Bainbridge, S. 1986, "The Insider Trading Prohibition: A Legal and Economic Enigma", University of Florida Law Review, vol. 38, p. 35.
  • Ball, H.W. & Friedman L.M. 1965, "The Use of Criminal Sanctions in the Enforcement of Economic Legislation: A Sociological View", Stanford Law Review, vol. 17, p. 197.
  • Bardach, E. & Kagan, R.A. 1982, Going by the Book.- The Problem of Regulatory Unreasonableness, Temple University Press, Philadelphia.
  • Barrett, R.I. 1983, "Insider Trading - A small but Welcome Change Proposal", Companies and Securities Law Journal, vol. 1, p. 221.
  • Baxt, R. 1974, The Rae Report - Quo Vadis?, Butterworths, Sydney.
  • ----------- et al. 1988, Stock Markets and the Securities Industry: Law and Practice, 3rd edn, Butterworths, Sydney.
  • Berry, J. & Yanko, G. 1990, "Enter the ASX computer police: how an electronic eye spots the villains", JASSA (Journal of the Securities Institute of Australia), March, p. 2.
  • Block, D.J. 1983, Insider Trading Sanctions and S.E.C. Enforcement Legislation, Hearings before the Subcommittee on Telecommunications, Consumer Protection and Finance of the Committee on Energy and Commerce, House of Representatives, HR559, April 13 1983, Washington, D.C.
  • Bolt, Cathy 1990, Australian Financial Review, 26 February.
  • Bosch, H. 1990, "Corporate Practices and Conduct" public discussion paper, NCSC, Melbourne.
  • Brudney, V. 1979, "Insiders, Outsiders and Informational Advantages under the Federal Securities Law", Harvard Law Review, vol. 93, P. 322.
  • Carlton, D.W. & Fischel DR. 1983, "The Regulation of Insider Trading", Stanford Law Review, vol. 35, p. 857.
  • Coelli, Andree 1989, "Insider-trading counts dropped", The Canberra Times, 23 June.
  • Coffee, J.C. 1984, "Market Failure and the Economic Cure for a Mandatory Disclosure System", Virginia Law Review, vol. 70, P. 717.
  • Corcoran, S. 1987, "NCSC Discussion Paper on Insider Trading - Who should be considered an 'Insider?" Adelaide Law Review, vol. 11, p. 83.
  • Cottrell, J. 1986, "Insider Dealing in the United States", New Law Journal, vol. 136, p. 88, vol. 112, p. 150.
  • ----------- 1986, "Insider Dealing", The Company Lawyer, vol. 7, p. 219.
  • Cox, J.D. 1986, "Insider Trading and Contracting: A Critical Response to the Chicago School", Duke Law Journal, p. 628.
  • -------- 1990, "An Outsider's Perspective of Insider Trading Regulation in Australia", Sydney Law Review, vol. 12, no. 455.
  • Davis, B. V. 1975, "Canadian and American Attitudes on Insider Trading", University of Toronto Law Journal, p. 215.
  • Davis, 1. 1988a, "CBS chiefs diverted funds: Langmore", The Canberra Times, 2 December.
  • ----------- 1988b, "Langmore on CBS report: questions remain", The Canberra Times, 17 December.
  • ----------- 1989, "CBS in court fight", The Canberra Times, 3 December.
  • Definition of Insider Trading 1987, Hearings before the Subcommittee on Securities of the Committee on Banking, Housing and Urban Affairs, United States Senate, 100th Congress, Part 1, 17, 19 June 1987; Part El, 7 August 1987, Washington D.C. 1987.
  • Dooley, M.P. 1980, "Enforcement of Insider Trading Restrictions", Virginia Law Review, vol. 66, p. 1.
  • Duffy, M. 1990a, "Government Response to the Report of the House of Representatives Standing Committee on Legal and Constitutional Affairs entitled 'Fair Shares for All: Insider Trading in Australia'", issued by Attorney-General, The Hon. Michael Duffy, 11 October.
  • ----------- 1990b, Exposure Draft on Insider Trading, News Release 78/90, The Hon. Michael Duffy, 20 December.
  • Easterbrook, F.H. 1981, "Insider Trading, Secret Agents, Evidentiary Privileges and the Production of Information", Supreme Court Review 1981, p. 309.
  • Ferber, D. 1970, "The Case Against Insider Trading: A Response to Professor Manne", Vanderbilt Law Review, vol. 23, P. 62 1.
  • Finnety, J.E. 1976, "Insiders and Market Efficiency", 31 Journal of Finance 1141 (1976), reprinted in Economics of Corporation Law and Securities Regulation, eds R. Posner & K. Scott, Little, Brown and Co, Boston, p. 142.
  • Fisse, B. & Braithwaite, J. 1983, The Impact of Publicity on Corporate Offenders, State University of New York Press, Albany.
  • Fogliano, Theresa 1984, "Securities Law", 1984 Annual Survey of American Law, p. 1007.
  • Frantz, D. 1987, Levine and Co: Wall Streets Insider Trading Scandal, Henry Holt and Company, New York.
  • Friedman, H.M. 1981, Securities and Conunodities Enforcement: Criminal Prosecutions and Civil Injunctions, Heath & Co., Lexington.
  • Givoly, D. & Palmon, D. 1985, "Insider Trading and the Exploitation of Insider Information: Some Empirical Evidence", Journal of Business Law, vol. 58, p. 69.
  • Glayos, R. 1990, Weekend Australian, 3-4 March.
  • Goezler, D.L. et al. 1984, "Symposium on Insider Trading", Hofstra Law Review, vol. 13, p. 1.
  • Gowdie, C. 1989, "Insider case speculative, says QC", The Age, 2 August.
  • Gower, L.C.B. 1979, Principles of Modern Company Law, 4th edn, Stevens, London.
  • Green, J.M. 1990, "Corporate Crooks", Company and Securities Law Journal, vol. 8, p. 414.
  • Grabosky, P. & Braithwaite, J. 1986, Of Manners Gentle: Enforcement Strategies of Australian Business Regulatory Agencies, Oxford University Press, Melbourne.
  • Griffiths, Alan (Chairman) (1989), Fair Shares for All: Insider Trading in Australian outline olf the Issues and Alternatives, Report of the House of Representatives Joint Standing Committee on Legal and Constitutional Affairs, Australian Government Publishing Service, November.
  • Grundfest, Joseph A. 1986, "To Catch a Thief: Recent Developments in Insider Trading Law and Enforcement", Speech by the SEC Commissioner, 20 June.
  • Haddock, D.D. & Macey, J.R. 1986, "A Coasian Model of Insider Trading", Northwestern University Law Review, vol. 80, no. 6, Summer, pp. 1449-72.
  • Haft, R.J. 1982, "The Effect of Insider Trading Rules on the Internal Efficiency of the Large Corporation", Michigan Law Review, vol. 80, p. 1051.
  • Hart, G. 1980, "Some Aspects of Government Regulation of the Capital Markets: An Assessment of the Securities Industry Acts", pp. 236-52 in Legislation and Society in Australia, ed. R. Tomasic, George Allen and Unwin, Sydney.
  • Hawkins, K. & Thomas, J.M. 1984, Enforcing Regulation, Kluwer-Nijhoff Publishing, Boston.
  • Hazen, T.L. 1982, "Corporate Insider Trading: Re-Awakening the Common Law", Washington and Lee Law Review, vol. 39, p. 845.
  • Heller, H. 1982, "Chiarella, SEC Rule 14e-3 and Dirks: Fairness versus Economic Theory", Business Lawyer, vol. 37, p. 517.
  • Hetherington, J.A.C. 1967, "Commentary, Insider Trading and the Logic of the Law", Wisconsin Law Review, p. 720.
  • Hetherington, M. 1976, "Financing an Insider Takeover", Australian Business Law Review, vol. 4, p. 220.
  • Hogan, W. 1988, "Insider Trading", Company and Securities Law Journal, vol. 6, p. 39.
  • House of Representatives Standing Committee on Ixgal and Constitutional Affairs 1989, Alan Griffiths (Chairrnan), Report, Fair Shares for All: Insider Trading in Australi@n outline of the Issues and Alternatives, Australian Government Publishing Service, November.
  • Hurst, J. H. 1982, Dealing with Statutes, Columbia University Press, New York.
  • Insider Trading - Proposed Amendments to the Corporations Law: Draft Legislation and Explanatory Paper, AGPS, Canberra, December 1990, p. 28, clause 39.
  • Internal Revenue Manual - Administration, "Rewards for information given to the Internal Revenue Service", Pub 733 (Rev 7-80), p. 28,21 1.
  • Janvey, R.S. 1986, "SEC Investigations of Insider Trading", Securities Regulation Law Journal, vol. 13, p. 299.
  • Joint Select Committee on Corporations Legislation 1989, Ronald Edwards (Chairman) Report of Committee, AGPS, Canberra.
  • Kirby, G.C. 1989, "Insider Trading: Implications and Responses", Abacus, September, vol. 25, no. 2, pp. 85-96.
  • Koeck, W. 1990, "Just what is an Insider Trader?", JASSA (Journal of the Securities Institute of Australia), No. 3, September.
  • Kluver, J. 1981, "Insider Trading: Strict Mens Rea?" Criminal Law Journal, vol. 5, p. 209.
  • Loss, Louis 1985, The Insider Trading Conundrum, Securities Law Seminar, Law Press, Centre for Commercial Law and Applied Law Research, Monash University.
  • Lague, D. 1989, "Sun Securities faces insider charges", Australian Financial Review, 7 July.
  • Lampe, A. 1990, Sydney Morning Herald, 28 February.
  • Langevoort, D C. 1984, "The Insider Trading Sanctions Act of 1984 and its Effect on Existing Law", Vanderbilt Law Review, vol. 37, p. 1273.
  • ----------- 1982, "Insider Trading and the Fiduciary Principle: a post - Chiarella Restatement", California Law Review, vol. 70, p. 1.
  • Lorie, J.H. & Niederhoffer, V. 1968, "Predictive and Statistical Properties of Insider Trading", Journal of Law and Economics, vol.11, p. 35.
  • Loss, L 1961, Securities and Regulation, Little Brown and Co., Boston.
  • ----------- 1983, Fundamentals of Securities Regulation, Little Brown and Co., Boston.
  • Lucas, W.R., Hamill, I.D., Shea, C. & Dubnow, J. 1990, "An over-view of various procedural considerations associated with the Securities and Exchange Commissions investigation process", Business Lawyer, vol. 45, pp. 625-94.
  • Macey, J. R. 1984, "From Fairness to Contract: The New Direction of the Rules Against Insider Trading", Hofstra Law Review, vol. 13, p. 9 (Reprinted 1986, Securities Law Review, vol. 18, p. 177).
  • McIntosh, T. 1987, "Insider trading rampant, survey suggests", Weekend Australian, 10-11 October.
  • Mandle, P. 1985, "The Insider Trading Conundrum", Securities Law Seminar, Law Press, Centre for Commercial Law and Applied Law Research, Monash University, July.
  • Manne, H.G. 1966a, Insider Trading and the Stock Market, The Free Press, New York.
  • ----------- 1966b, "In Defense of Insider Trading", Harvard Business Review, vol. 44, p. 113, [Reprinted in Economics of Corporation Law and Securities Regulation, eds R. Posner & K. Scott, 1981, p. 130].
  • ----------- 1970a, "Insider Trading and the Law Professors",Vanderbilt Law Review, vol. 23, p. 547.
  • ----------- 1970b, "A Rejoinder to Mr Ferber", Vanderbilt Law Review, vol. 23, p. 627.
  • Markham, J.W. 1988, "Front Running - Insider Trading under Commodity Exchange Act", Catholic University Law Review, vol. 38, p. 69.
  • Martin, J.K. 1986, "Insider Trading and the Misapprooriation Theory: Has the second Circuit gone too far?", St John's Law Review, vol. 61, p. 78.
  • Mason H.H. 1976a, "Share Dealings By a Company's Officers: An Australian- American Comparison", Western Australian Law Review, vol. 12, p. 153.
  • ----------- 1976b, "Share Dealings By a Company's Officers: An Australian and American Comparison", Australian Business Law Review, vol. 4, p. 40.
  • McCusker, M.J. 1990, Report of Inspector on a Special Investigation into Rothwells Ltd pursuant to Companies Code (WA) Part VII, Part 1, Government Printer, Perth.
  • Mendelson, M. 1969, "The Economics of Insider Trading Reconsidered", University of Pennsylvania Law Review, p. 470.
  • Miers, D.R. & Page, A.C. 1982, Legislation, Sweet & Maxwell, London.
  • Mintzberg, H. 1984, "Who Should Control the Corporation", California Management Review, vol. 17, no. 1, p. 90.
  • Morrison, J. 1986, "ND urges phone-in to catch dole cheats", The Australian, 2 January.
  • Murrill, M. 1989a, "Perth man to face magistrate with Johns", Australian Financial Review, 25 July.
  • ----------- 1989b, "Newton charges dismissed", Australian Financial Review, 3 August.
  • ----------- 1989c, "Prosecutor sees speculation as art form: QC", Australian Financial Review, 2 August.
  • ----------- 1989d, "Vic's first insider trading case shows up the bugs in the system", Australian Financial Review, 25 September.
  • ----------- 1989e, "Trial on insider trading charges may be year away", Australian Financial Review, 25 September.
  • ----------- 1990, Australian Financial Review, 12 February.
  • Mychasuk, E. 1989, "Brokers fear sackings as share traders dry up", Sydney Morning Herald, 4 April, p. 25.
  • National Companies and Securities Commission 1986a, Insider Trading Legislation for Australia: An Outline of the Issues and Alternatives, (The Anisman Report), AGPS, Canberra.
  • ----------- 1986b, Report on the Cross Investments between the Broken Hill Proprietary Company Limited and Elders IXL Limited, AGPS, Canberra.
  • Nicholson, R. & Darling, M. 1986, "Hitting the Chinese Walls", Law Institute Journal, vol. 60, p. 1338.
  • Obermeier, O.G. 1987, "Insider Trading Sentences", The Review of Securities and Commodities Regulation, vol. 20, no. 16, p. 15 1.
  • Olson, J.F. & the Committee on Federal Regulation of Securities 1985, "Report of the Task Force on Regulation of Insider Trading Part 1: Regulation under the AntiFraud Provisions of the Securities and Exchange Act of 1934", The Business Lawyer, November, vol. 41, p. 223.
  • Painter, Professor 1987, "How to Control Insider Trading", American Bar Association Journal, vol. 73, 1 March, p. 38.
  • Patterson, C.I. 1984, "Insider Trading and Business Ethics", New Zealand Law Journal, p. 369.
  • Pennington, R.R. 1987, "Insider Trading and the Financial Services Act 1986", Solicitors Journal, vol. 13 1, p. 206.
  • Posner, R. A. 1977, Economic Analysis of Law, 2nd edn, Little Brown and Co., Boston.
  • Potter, B. 1989a, "Mullins faces bribery charge: Trico link detailed", Sydney Morning Herald, 20 July 1989.
  • ----------- 1989b, "Johns faces five charges", Sydney Morning Herald, 20 July.
  • ----------- 1989c, "Insider trading; official charged", Sydney Morning Herald, 23 May.
  • Australian Securities Markets and their Regulation: Part 1, Report from the Senate Select Conunittee on Securities and Exchange, AGPS, Canberra.
  • Rajak, H. 1989, "Wrongful Trading", New Law Journal, 27 October, vol. 139, p. 1458.
  • Rider, B. 1977, The Regulation of Insider Trading: A comparative Analysis, PhD Thesis, University of London.
  • ----------- 1983, Insider Trading, Jordan and Sons Ltd, Bristol.
  • Rider, B. & Ffrench H.L. 1979, The Regulation of Insider Trading, Macmillan, London.
  • Rider, B.A.K., Chaikin, D.A. & Abrams, C. 1987, Guide to the Financial Services Act 1986, CCH, London.
  • Rosenbaum, E., Simmonds, R.L., Simpson, John H. & Vaidila D.P. 1983-84, "Corporate and Investment Attitudes Towards Insider Trading in Canada", Canadian Business Law Journal, vol. 8, p. 485.
  • Salins, C. 1988, "CBS moves over confusion", The Canberra Times, 5 December.
  • ----------- 1989, "The entrepreneurial approach", The Canberra Times, 21 December.
  • Samuel, G. 1985, "Whither Australia - Directions for the Future", Securities Law Seminar, July, Law Press, Centre for Commercial Law and Applied Law Research, Monash University
  • Saw, Melanie 1991, "Insider Charge Dismissed", Sydney Morning Herald, 9 February.
  • Schotland, R. 1967, "Unsafe at any price", Virginia Law Review, vol. 53, p. 1425.
  • Scribner, R.D.O. 1987, Insider Trading Surveillance at the American Stock Exchange, Appendix to statement to US House Sub Committee on Telecommunications and Finance, HR 2172, July 29.
  • Securities Law Seminar 1986, Securities Law Seminar - Insider Trading, Faculty of Law, Monash University, Melbourne.
  • Seligman, J. 1986, "The Reformation of Federal Securities Law concerning Non- Public Information", Securities Law Review, vol. 18, p. 1 19.
  • Senate Select Committee on Securities and Exchange 1974, (Senator Rae, Chairman) Report, Australian Securities Markets and their Regulation, Part 1, vol. 1, Australian Government Publishing Service, Canberra.
  • Shapiro, S.P. 1984, Wayward Capitalists: Target of the Securities and Exchange Commission, Yale University Press, New Haven.
  • Silver, Carole B. 1985, "Penalising Insider Trading: A Critical Assessment of the Insider Trading Sanctions Act of 1984", Duke Law Journal, p. 960.
  • Skoyles, K.J. 1984, "The Fiduciary Basis of Insider Trading Liability Dirks Down Under", Company and Securities Law Journal, vol. 2, p. 13.
  • Smith, M. 1989, "WA assayist hit with insider dealing charge", Australian Financial Review, 7 July.
  • Stone, C.D. 1975, Where The Law Ends: The Social Control of Corporate Behaviour, Harper and Row, New York.
  • Stretton, R. 1991, "Caveat pre-emptor", The Bulletin, 12 February.
  • Strickler, J.P. 1985, "Inside Information and Outside Traders: Corporate Recovery of the Outsiders Unfair Gain", California Law Review, vol. 73, p. 482.
  • Subcommittee on Securities of the Committee on Banking, Housing and Urban Affairs 1987, Definition of Insider Trading, US Senate 100th Congress, Part 1, 17-19 June 1987; Part 11, 7 August, Washington DC.
  • Sykes, T. 1978, The Money Miners: Australia's Mining Boom 1969-70, Wildcat Press, Sydney.
  • ----------- 1988, Two Centuries of Panic: A History of Corporate Collapse in Australia, Allen and Unwin, Sydney.
  • Tate, M. 1988, The New Deterrence: Confiscation of the Profits of Crime, Mimeo Paper delivered to the 10th Annual Conference of Australian Society of Labour Lawyers, Canberra, August.
  • Tell, L. J. 1986, "Inside Infonnafion: It isn't always easy to define", Barrons, November 24, p. 56.
  • Thel, S. 1990, "The Original conception of s 10(b) of the Securities Exchange Act", Stanford Law Review, vol. 42, p. 11.
  • Tidwell, G. L. & Aziz, A. 1988, "Insider Trading: How well do you understand the Current Status of the Law?", California Management Review, vol. 30, p. 115.
  • Tomasic, R. 1980, "The Sociology of Legislation" in Legislation and Society in Australia, ed. R Tomasic, Allen & Unwin, Sydney.
  • ----------- (ed.) 1984, Business Regulation in Australia, CCH, Sydney.
  • ----------- 1985, "Towards a Theory of Legislation: Some Conceptual Obstacles", Statute Law Review, pp. 84-105.
  • ----------- 1988, "Insider Trading and the Higher Courts: The Winans and Warner Cases", Company and Securities Law Journal, vol. 6, pp. 96-104.
  • ----------- 1990a, "Insider Trading: Are You at Risk?", Part 1 and Part 2, Accounting Forum, vol. 14, no. 1, p. 50; vol. 14, no. 2, p. 34.
  • ----------- 1990b, "Corporate Crime: Making the Law more Credible", Company and Securities Law Journal, vol. 8, p. 369.
  • ----------- 1990c, The Global Dimensions of Corporate Law Scholarship, mimeo, Centre for National Corporate Law Research, University of Canberra.
  • Tomasic, R. & Lucas E.A. (eds) 1986, Power Regulation and Resistance: Studies in the Sociology of Law, University of Canberra, Canberra.
  • Tomasic, R. & Pentony, B. 1989a, "The Prosecution of Insider Trading in Australia: Obstacles to Enforcement", The Australian and New Zealand Journal of Criminology, vol. 22, p. 65.
  • ----------- 1989b, "Crime and Opportunity in the Securities Markets: The Case of Insider Trading in Australia", Company and Securities Law Journal, vol. 7, p. 186.
  • ----------- 1989c, "Insider Trading", Legal Services Bulletin, vol. 14, p. 3.
  • ----------- 1989d, "Coming Down on the Insider Traders", JASSA (Journal of the Securities Industry of Australia), No. 1, March 1989, P. 24.
  • ----------- 1989e, "Insider Trading & Business Ethics", Legal Studies Forum, vol. 13, p. 151.
  • ----------- 1989f, "Business Ethics - Time for Examining Consciences?", Australian Institute of Management, Issue no. 4, May, pp. 5-7.
  • ----------- 1989g, "Fast-Tracking Takeover Litigation in Australia", Australian Business Law Review, vol. 17, p. 6.
  • ----------- 1989h, Insider Trading in Australia: Part 4: Summary and Recommendations, Mimeo, University of Canberra.
  • ----------- 1990a, "The Extent of Insider Trading in Australia: A Socio-Legal Account", Australian and New Zealand Journal of Criminology, vol. 23, p. 125.
  • ----------- 1990b, "Litigation in Takeovers - the Decision-making Process", Australian Bar Review, vol. 6, p. 67.
  • ----------- 1990c, "Judicial Technique in Takeover Lifigation in Australia", UNSW Law Journal, vol. 11, p. 240.
  • ----------- forthcoming, "Insider Trading Regulation and Law Enforcement", The Company Lawyer.
  • Tridimas, T. 1987, "Tbe Financial Services Act and the Detection of Insider Trading", The Comany Lawyer, vol. 8, p. 162.
  • Vick, B. J. 1984, "Dirks v. SEC: The Supreme Court Establishes the Standard for Tippee Liability Under Rule 10 b -5", Baylor Law Review, vol. 36, p. 217.
  • Wallace, P.F. 1985, "Who is subject to the Prohibition Against Insider Trading: A Comparative Study of American, British and French Law", Southern University Law Review, vol. 15, p. 217.
  • Walmsley, K. 1978, "Insider Dealing and the Conduct of Directors", New Law Journal, vol. 128, p. 15.
  • Wang, W.K.S, "Trading on Material non Public Information on Impersonal Stock Markets: Who is harmed and who can sue whom under SEC rule lOb-5", Southern California Review, vol. 54, p. 1217.
  • Weaver, S. 1978, Decision to Prosecute: Organisation and Public Policy in the Antitrust Division, MIT Press, Cambridge.
  • White, R. 1974, "Towards a Policy Basis for the Regulation of Insider Trading", Law Quarterly Review, vol. 90, p. 494.
  • Wilson, J. Q. (ed.) 1980, The Politics of Regulation, Basic Books, New York.
  • Wimberly, G.E. 1985, "Corporate Recovery of Insider Trading Profits at Common Law", Corporate Law Review, vol. 8, p. 197.
  • Winans, R. Foster 1986, Trading Secrets: Seduction and Scandal at the Wall Street Journal, New York.