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0.56 Jeffry L. Davis Lois E. Lightfoot, Fragmentation versus Consolidation of Securities Trading: Evidence from the Operation of Rule 19c‐3, Journal of Law and Economics, 1998.
0.51 Sanford J. Grossman Merton H. Miller Kenneth R. Cone Daniel R. Fischel David J. Ross, Clustering and Competition in Asset Markets, Journal of Law and Economics, 1997.
0.44 Kalman J. Cohen Robert M. Conroy, An Empirical Study of the Effect of Rule 19c-3, Journal of Law and Economics, 1990.
0.42 Jonathan Macey Maureen O’Hara David Pompilio, Down and Out in the Stock Market: The Law and Economics of the Delisting Process, Journal of Law and Economics, 2008.
0.39 J. Harold Mulherin Jeffry M. Netter James A. Overdahl, Prices Are Property: The Organization of Financial Exchanges from a Transaction Cost Perspective, Journal of Law and Economics, 1991.
0.36 Tom Smith Robert E. Whaley, Assessing the Costs of Regulation: The Case of Dual Trading, Journal of Law and Economics, 1994.
0.35 James H. Lorie Victor Niederhoffer, Predictive and Statistical Properties of Insider Trading, Journal of Law and Economics, 1968.
0.34 David D. Haddock Jonathan R. Macey, Regulation on Demand: A Private Interest Model with an Application to Insider Trading Regulation, Journal of Law and Economics, 1987.
0.34 Gregg A. Jarrell, Change at the Exchange: The Causes and Effects of Deregulation, Journal of Law and Economics, 1984.
0.32 H. Nejat Seyhun, The Effectiveness of the Insider-Trading Sanctions, Journal of Law and Economics, 1992.
0.28 Craig Pirrong, A Theory of Financial Exchange Organization, Journal of Law and Economics, 2000.
0.18 Roberta Romano, Comment on Easterbrook and Fischel "Contract and Fiduciary Duty", Journal of Law and Economics, 1993.
0.15 Frank H. Easterbrook Daniel R. Fischel, Contract and Fiduciary Duty, Journal of Law and Economics, 1993.