586 GENERAL BIBLIOGRAPHY
Campbell, H. B., “Legal Aspects of the Transfer of Securities,” New
York, 1920.
Cannon, J. G., “Clearing Houses,” New York, 1908.
Carroll, M. B., “Double Taxation Relief” (publication of U. S.
Department of Commerce), Washington, 1928.
Chamberlain, Lawrence, “The Work of the Bond House,” New York,
—— (and Edwards, G. W.), “Principles of Bond Investment” (2nd
ed.), New York, 1927.
Clark, A. B., “The Utility of Speculation in Modern Commerce” (in
Political Science Quarterly for September, 1892), New York, 1892.
Clark, J. B., “Insurance and Business Profits” (in Quarterly Journal
of Economics for October, 1892), Cambridge, 1892.
——, “The Distribution of Wealth,” New York, 1899.
Cleveland, F. A., “Funds and Their Uses,” New York, 1922.
Clews, Henry, “Fifty Years in Wall Street,” New York, 1908.
Cohen H. H. “Evolution of Financial Clearance in New York”
(thesis), New York, 1924.
Commerce and Finance, “Wire House” Number, June 22, 1921, New
York.
Committee on Recent Economic Changes, “Recent Economic Changes”
(Report of Committee on Recent Economic Changes, of the President’s
Conference on Unemplovment. 1921), 2 vols.,, New York,
1929.
Conant, Chas. A., “The Uses of Speculation” (in Forum for August,
1901), New York, 1901.
—, “Wall Street and the Country,” New York, 1904.
——, “Principles of Money and Banking,” New York, 1905.
——, “The World’s Wealth in Negotiable Securities” (in Atlantic
Monthly for January, 1908), Boston, 1908.
—— “The Regulation of the Stock Exchange” (in Atlantic Monthly
for September, 1908), Boston, 1908.
.——, Testimony in “Regulaton of the Stock Exchange” hearings, pp.
189 et seq., Washington, 1914.
Conway, Thos., (See under Atwood, Albert).
Conyngton, Thos., “Corporate Organization and Management,” New
York, 1919.
Counsel for the New York Stock Exchange, (See also Milburn, J. G,,
Taylor, W. F., and Redmond, R. L.) “Brief in behalf of the New
York Stock Exchange,” New York, 1913.
——, “Brief in behalf of the New York Stock Exchange in opposition
to Senate Bill Introductory No. 360, Print No. 365 . . . entitled
‘An Act in relation to regulating the sale and disposition of
securities and the licensing of brokers and dealers,” New York,
(025.
I1Q12.