Securities Lawyer's Deskbook
                         published by The University of Cincinnati College of Law
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Regulation FD





Rule 102 -- No Effect on Antifraud Liability


No failure to make a public disclosure required solely by Rule 100 shall be deemed to be a violation of Rule 10b-5 under the Securities Exchange Act.


Regulatory History


65 FR 51716, 51739, Aug. 24, 2000



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