"Legal Ethics - Securities - Securities Attorneys' Affirmative Duty to Take Prompt Action to Have Clients Comply with Disclosure Requirements. In re Carter, SEC Release No. 34-17597 (Feb. 28, 1981), [Current] FED. SEC. L. REP. (CCH) 82,847.,"
Seton Hall Law Review: Vol. 11
, Article 12.
Available at: https://scholarship.shu.edu/shlr/vol11/iss4/12