Subtitle: Practical guide to the Agencies' 1995 guidelines -2014
1 online resource.
Corporate practice portfolio series ; no. 53-3rd.
" ... seeks to provide practical advice on both substantive aspects of U.S. international antitrust enforcement as well as the procedural aspects, the latter of which is often outcome determinative and sets traps for the unwary. This portfolio is divided into two parts: Part One addresses U.S. enforcement policy in substantive antitrust areas, and Part Two deals with procedural aspects of international antitrust enforcement."
Author: Joseph P. Griffin, -2014. Published: Washington, D.C., 1996-2007.
Bibliography, etc. Note
Includes bibliographical references.
Formatted Contents Note
Detailed analysis. Part one: Substantive aspects of U.S. antitrust law. Introduction Enforcement policy under sections 1 and 2 of the Sherman Act Recent international enforcement initiatives in the cartel area Joint ventures Mergers and acquisitions. Part two: procedural aspects. Threshold international enforcement issues Foreign governmental involvement International trade issues Personal jurisdiction Discovery of evidence Foreign discovery requests in the U.S. under 28 U.S.C. [section] 1782(a) Working papers.
Digital File Characteristics
System Details Note
Mode of access: World Wide Web.
Source of Description
Title from title screen (viewed Jan. 8, 2014).
Available in Other Form
Print version: Hannay, William M., 1944- U.S. international antitrust enforcement. Arlington, VA : Bureau of National Affairs, [2014-]