Corporations & Securities 2014

January 3, 2014

  1. Barry, Jordan M., John William Hatfield and Scott Duke Kominers. On derivatives markets and social welfare: a theory of empty voting and hidden ownership. 99 Va. L. Rev. 1103-1167 (2013).
  2. Petrin, Martin. Reconceptualizing the theory of the firm--from nature to function. 118 Penn St. L. Rev. 1-53 (2013).
  3. Roe, Mark J. Breaking bankruptcy priority: how rent-seeking upends the creditors' bargain. 99 Va. L. Rev. 1235-1290 (2013).
  4. Spiro, Peter J. Constraining global corporate power: a short introduction. 46 Vand. J. Transnat'l L. 1101-1118 (2013).
  5. Tiedemann, Klaus. Business-related criminal law in Europe: a critical inventory. [Translation by Edgardo Rotman.] 20 U. Miami Int'l & Comp. L. Rev. 135-162 (2013).
  6. Kaal, Wulf A. Hedge fund manager registration under the Dodd-Frank Act. 50 San Diego L. Rev. 243-322 (2013).
  7. Risch, Michael. Patent portfolios as securities. 63 Duke L.J. 89-154 (2013).

January 10, 2014

  1. Markham, Jesse W., Jr. The failure of corporate governance standards and antitrust compliance. 58 S.D. L. Rev. 499-542 (2013).
  2. Morse, Susan C. Startup Ltd.: tax planning and initial incorporation location. 14 Fla. Tax Rev. 319-360 (2013).
  3. Roen, Craig M. and Catherine O'Connor. Don't forget to remember everything: the trouble with Rule 30(b)(6) depositions. 45 U. Tol. L. Rev. 29-56 (2013).
  4. Ventoruzzo, Marco. Issuing new shares and preemptive rights: a comparative analysis. 12 Rich. J. Global L. & Bus. 517-542 (2013).

January 17, 2014

  1. Backer, Larry Cata. Transnational corporations' outward expression of inward self- constitution: the enforcement of human rights by Apple, Inc. 20 Ind. J. Global Legal Stud. 805-879 (2013).
  2. Bruckner, Matthew. The virtue in bankruptcy. 45 Loy. U. Chi. L.J. 233-285 (2013).
  3. Loewenstein, Mark J. Benefit corporations: a challenge in corporate governance. 68 Bus. Law. 1007-1038 (2013).
  4. Plerhoples, Alicia E. Representing social enterprise. 20 Clinical L. Rev. 215-265 (2013).
  5. Renner, Moritz. Occupy the system! Societal constitutionalism and transnational corporate accounting. 20 Ind. J. Global Legal Stud. 941-964 (2013).
  6. Roe, Mark J. Corporate short-termism--in the boardroom and in the courtroom. 68 Bus. Law. 977-1006 (2013).
  7. Teubner, Gunther and Anna Beckers. Expanding constitutionalism. 20 Ind. J. Global Legal Stud. 523-550 (2013).
  8. Allen, Hilary J. A new philosophy for financial stability regulation. 45 Loy. U. Chi. L.J. 173-231 (2013).

January 24, 2014

  1. Gevurtz, Franklin A. Removing Revlon. 70 Wash. & Lee L. Rev. 1485-1571 (2013).
  2. Brunson, Samuel D. Mutual funds, fairness, and the income gap. 65 Ala. L. Rev. 139-185 (2013).
  3. Schwarcz, Steven L. Regulating shadows: financial regulation and responsibility failure. 70 Wash. & Lee L. Rev. 1781-1825 (2013).

January 31, 2014

  1. Alces, Kelli A. Legal diversification. 113 Colum. L. Rev. 1977-2038 (2013).
  2. Grossman, Nadelle. Out of the shadows: requiring strategic management disclosure. 116 W. Va. L. Rev. 197-254 (2013).
  3. Willis, Steven J. Corporations, taxes, and religion: the Hobby Lobby and Conestoga contraceptive cases. 65 S.C. L. Rev. 1-79 (2013).
  4. Johnson, Lyman. Unsettledness in Delaware corporate law: business judgment rule, corporate purpose. 38 Del. J. Corp. L. 405-451 (2013).
  5. Hamermesh, Lawrence A. and student Peter I. Tsoflias. An introduction to the Federalist Society's panelist discussion titled "Deregulating the Markets: The JOBS Act." 38 Del. J. Corp. L. 453-475 (2013).
  6. Booth, Richard A. The two faces of materiality. 38 Del. J. Corp. L. 517-570 (2013).
  7. CdeBaca, Luis. Keynote address. 30 T.M. Cooley L. Rev. 1-12 (2013).
  8. Staff of the Michigan Department of Attorney General. Eroding freedom's foundation: human trafficking and the threat to American principle. 30 T.M. Cooley L. Rev. 13-25 (2013).
  9. Johnson, E. Christopher, Jr. The corporate lawyer, human trafficking, and child labor: who's in your supply chain? 30 T.M. Cooley L. Rev. 27-37 (2013).
  10. Marcum, Tanya M. and Catherine Davies Hoort. Alert: be on the lookout for protection orders in the educational setting. 30 T.M. Cooley L. Rev. 39-58 (2013).

February 7, 2014

  1. Callison, J. William. Benefit corporations, innovation, and statutory design. 26 Regent U. L. Rev. 143-165 (2013-2014).
  2. Hines, Christopher T. The corporate gatekeeper in ethical perspective. 78 Mo. L. Rev. 77-131 (2013).
  3. McConnell, Michael W. Reconsidering Citizens United as a Press Clause case. 123 Yale L.J. 412-458 (2013).
  4. Schwartz, Andrew A. The corporate preference for trade secret. 74 Ohio St. L.J. 623-668 (2013).
  5. Velasco, Julian. Fiduciary duties and fiduciary outs. 21 Geo. Mason L. Rev. 157-216 (2013).
  6. Winkler, Matteo M. What remains of the Alien Tort Statute after Kiobel? 39 N.C. J. Int'l L. & Com. Reg. 171-190 (2013).
  7. Burge, Jason W. and Lara K. Richards. Defining "customer": a survey of who can demand FINRA arbitration. 74 La. L. Rev. 173-211 (2013).
  8. Georgakopoulos, Nicholas L. The Ralston-Landreth-Gustafson harmony: a security! 41 Cap. U. L. Rev. 553-602 (2013).
  9. Kibbie, Kelly S. The currently mandated myopia of Rule 10b-5: pay no attention to that manager behind the mutual fund curtain. 78 Mo. L. Rev. 171-241 (2013).

February 14, 2014

  1. Bohren, Oyvind and Nils Erik Krosvik. The economics of minority freezeouts: evidence from the courtroom. 36 Int'l Rev. L. & Econ. 48-58 (2013).
  2. Outenreath, Alyson. "Uncharitable" policy for charities: use of disregarded LLCs by I.R.C. Section 501(c)(3) organizations is a trap for the unwary in certain states. 54 S. Tex. L. Rev. 685-745 (2013).
  3. Packalen, Mikko and Anindya Sen. Static and dynamic merger effects: a market share based empirical analysis. 36 Int'l Rev. L. & Econ. 12-24 (2013).
  4. Pearce, John A. II and Jamie Patrick Hopkins. Regulation of L3Cs for social entrepreneurship: a prerequisite to increased utilization. 92 Neb. L. Rev. 259-288 (2013).
  5. Sklar, Stanley. Arbitration advocacy: its role in business and legal education, and new options for dispute resolution. 11 DePaul Bus. & Com. L.J. 441-453 (2013).
  6. Lurie, Paul M. Guided choice arbitration. 11 DePaul Bus. & Com. L.J. 455-469 (2013).
  7. Martin, Christopher. Costs of arbitration and the options for controlling those costs. 11 DePaul Bus. & Com. L.J. 471-481 (2013).
  8. Varallo, Gregory and John Mark Zeberkiewicz. Delaware private arbitration: an explanation of Delaware's Chancery arbitration program and its benefits. 11 DePaul Bus. & Com. L.J. 483-517 (2013).
  9. Wiltz, Van S. Will the JOBS Act jump-start the video game industry? Crowdfunding start-up capital. 16 Tul. J. Tech. & Intell. Prop. 141-183 (2013).

February 21, 2014

  1. Buell, Samuel W. Is the white collar offender privileged? 63 Duke L.J. 823-889 (2014).
  2. Desai, Deven R. Speech, citizenry, and the market: a corporate public figure doctrine. 98 Minn. L. Rev. 455-510 (2013).
  3. Kang, Michael S. The year of the Super PAC. 81 Geo. Wash. L. Rev. 1902-1927 (2013).
  4. Krug, Anita K. Escaping entity-centrism in financial services regulation. 113 Colum. L. Rev. 2039-2115 (2013).
  5. Slawotsky, Joel. ATS liability for rogue banking in a post-Kiobel world. 37 Hastings Int'l & Comp. L. Rev. 121-158 (2014).
  6. Thomas, Randall S. What should we do about multijurisdictional litigation in M&A deals? 66 Vand. L. Rev. 1925-1960 (2013).
  7. Seretakis, Alexandros. Hostile takeovers and defense mechanisms in the United Kingdom and the United States: a case against the United States regime. 8 Entrepren. Bus. L.J. 245-279 (2013).
  8. Stemler, Abbey and Anjanette H. Raymond. Promoting investment in agricultural production: increasing legal tools for small to medium farmers. 8 Entrepren. Bus. L.J. 281-326 (2013).
  9. Taylor, Willard. Does one size fit all? Should there be a single set of federal income tax rules for S corporations and partnerships? 8 Entrepren. Bus. L.J. 327-353 (2013).
  10. Campbell, Patricia E. Coping with the America Invents Act: patent challenges for startup companies. 8 Entrepren. Bus. L.J. 355-377 (2013).
  11. Thompson, Dana. Accelerating the growth of the next generation of innovators. 8 Entrepren. Bus. L.J. 379-391 (2013).
  12. Ahdieh, Robert B. Reanalyzing cost-benefit analysis: toward a framework of function(s) and form(s). 88 N.Y.U. L. Rev. 1983-2073 (2013).
  13. Abramowicz, Michael and Omer Alper. Screening legal claims based on third-party litigation finance agreements and other signals of quality. 66 Vand. L. Rev. 1641-1676 (2013).
  14. Baker, Lynn A., Michael A. Perino and Charles Silver. Setting attorneys' fees in securities class actions: an empirical assessment. 66 Vand. L. Rev. 1677-1718 (2013).
  15. Cox, James D. Understanding causation in private securities lawsuits: building on Amgen. 66 Vand. L. Rev. 1719-1753 (2013).
  16. Goldberg, John C.P. and Benjamin C. Zipursky. The fraud-on-the-market tort. 66 Vand. L. Rev. 1755-1805 (2013).
  17. Molot, Jonathan T. Fee shifting and the free market. 66 Vand. L. Rev. 1807-1829 (2013).
  18. Sebok, Anthony J. and W. Bradley Wendel. Duty in the litigation-investment agreement: the choice between tort and contract norms when the deal breaks down. 66 Vand. L. Rev. 1831-1887 (2013).
  19. Steinitz, Maya. How much is that lawsuit in the window? Pricing legal claims. 66 Vand. L. Rev. 1889-1924 (2013).

February 28, 2014

  1. Gurkaynak, Gonenc and DeryaDurlu. Harmonizing the shield to corporate liability: a comparative approach to the legal foundations of corporate compliance programs from criminal law, employment law, and competition law perspectives. 47 Int'l Law. 99-121 (2013).
  2. Kupenda, Angela Mae. Using feathery birds to disguise hateful speech: Avatar, Hillary: The Movie, Citizens United, and how birds of the same feather flock together. 49 Gonz. L. Rev. 1-21 (2013/14).
  3. McKenzie, John F. Foreign Corrupt Practices Act compliance issues for import/export operations. 47 Int'l Law. 43-64 (2013).

March 7, 2014

  1. Chumney, Wade M., David L. Baumer and Roby B. Sawyers. The dance continues: states and multi-state corporations dance in and out of real space and cyberspace. 16 SMU Sci. & Tech. L. Rev. 439-452 (2013).
  2. Fan, Joseph P.H., T.J. Wong and Tianyu Zhang. Institutions and organizational structure: the case of state-owned corporate pyramids. 29 J.L. Econ. & Org. 1217-1252 (2013).
  3. Muravyev, Alexander. Investor protection and the value of shares: evidence from statutory rules governing variations of shareholders' class rights in an emerging market. 29 J.L. Econ. & Org. 1344-1383 (2013).
  4. Padfield, Stefan J. Rehabilitating concession theory. 66 Okla. L. Rev. 327-361 (2014).
  5. Nagy, Donna M. Owning stock while making law: an agency problem and a fiduciary solution. 48 Wake Forest L. Rev. 567-623 (2013).
  6. Rosen, Kenneth M. Financial intermediaries as principals and agents. 48 Wake Forest L. Rev. 625-642 (2013).
  7. Oquendo, Angel R. Six degrees of separation: from derivative suits to shareholder class actions. 48 Wake Forest L. Rev. 643-672 (2013).
  8. Branson, Douglas M. Proposals for corporate governance reform: six decades of ineptitude and counting. 48 Wake Forest L. Rev. 673-696 (2013).
  9. Nash, Robert and Ajay Patel. The impact of national culture on corporate financial decisions. 48 Wake Forest L. Rev. 697-720 (2013).
  10. Elson, Charles M. and Craig K. Ferrere. Surplus, agency theory, and the Hobbesian corporation. 48 Wake Forest L. Rev. 721-744 (2013).
  11. Barnard, Jayne W. Shirking, opportunism, self-delusion and more: the agency problem lives on. 48 Wake Forest L. Rev. 745-770 (2013).
  12. Black, Barbara. Curbing broker-dealers' abusive sales practices: does Professor Jensen's integrity framework offer a better approach? 48 Wake Forest L. Rev. 771-790 (2013).
  13. Kaal, Wulf A. Dynamic regulation of the financial services industry. 48 Wake Forest L. Rev. 791-828 (2013).

March 14, 2014

  1. Galle, Brian. Social enterprise: who needs it? 54 B.C. L. Rev. 2025-2045 (2013).
  2. Korsmo, Charles R. Venture capital and preferred stock. 78 Brook. L. Rev. 1163-1230 (2013).
  3. Riza, Limor. Should tax law mind minority and monitor majority: the case of undistributed dividends and the ability-to-pay principle. 13 Hous. Bus. & Tax L.J. 86-127 (2013).
  4. Fanto, James A. Advising compliance in financial firms: a new mission for the legal academy. 8 Brook. J. Corp. Fin. & Com. L. 1-22 (2013).
  5. Black, Barbara. Punishing bad brokers: self-regulation and FINRA sanctions. 8 Brook. J. Corp. Fin. & Com. L. 23-55 (2013).
  6. DeMott, Deborah A. The crucial but (potentially) precarious position of the chief compliance officer. 8 Brook. J. Corp. Fin. & Com. L. 56-79 (2013).
  7. Frankel, Tamar. Self-regulation of insider-trading in mutual funds and advisers. 8 Brook. J. Corp. Fin. & Com. L. 80-91 (2013).
  8. Markham, Jerry W. Custodial requirements for customer funds. 8 Brook. J. Corp. Fin. & Com. L. 92-133 (2013).
  9. Strine, Leo E., Jr., Lawrence A. Hamermesh and Matthew C. Jennejohn. Putting stockholders first, not the first-filed complaint. 69 Bus. Law. 1-78 (2013).
  10. Pfister, Todd B. and Aubrey Refuerzo. New NYSE and NASDAQ listing rules raise the accountability of company boards and compensation committees through flexible standards. 69 Bus. Law. 135-154 (2013).
  11. Dearlove, Catherine G. and A. Jacob Werrett. Proxy access by private ordering: a review of the 2012 and 2013 proxy seasons. 69 Bus. Law. 155-182 (2013).
  12. Horton, Brent J. Toward a more perfect substitute: how pressure on the issuers of private-label mortgage-backed securities can improve the accuracy of ratings. 93 B.U. L. Rev. 1905-1970 (2013).

March 21, 2014

  1. Barzuza, Michal. Noise adopters in corporate governance. 2013 Colum. Bus. L. Rev. 627- 666.
  2. Rosenberg, Gabriel D. and Jai R. Massari. Regulation through substitution as policy tool: swap futurization under Dodd-Frank. 2013 Colum. Bus. L. Rev. 667-742.
  3. Lin, Li-Wen. State ownership and corporate governance in China: an executive career approach. 2013 Colum. Bus. L. Rev. 743-800.
  4. Gerhardt, Michael J. On candor, Free Enterprise Fund, and the theory of the unitary executive. 22 Wm. & Mary Bill Rts. J. 337-350 (2013).

March 28, 2014

  1. Bentzen, Sheila A. The de facto merger doctrine revisited. 62 Drake L. Rev. 91-127 (2013).
  2. Bruner, Christopher M. Is the corporate director's duty of care a "fiduciary" duty? Does it matter? 48 Wake Forest L. Rev. 1027-1054 (2013).
  3. Cassin, Shaun. The best offense is a good defense: how the adoption of an FCPA compliance defense could decrease foreign bribery. 36 Hous. J. Int'l L. 19-57 (2014).
  4. Guillen, Ramon, Jr. and student Tasha M. de Miguel. Applauding the entrepreneurial spirit: Florida welcomes veteran-owned small businesses. 37 Nova L. Rev. 579-615 (2013).
  5. Ohlrogge, Michael. How statistical sampling can solve the conundrum of compensation disclosures under Dodd-Frank. 31 J.L. & Com. 109-133 (2012-2013).
  6. Pargendler, Mariana, Aldo Musacchio and Sergio G. Lazzarini. In strange company: the puzzle of private investment in state-controlled firms. 46 Cornell Int'l L.J. 569-610 (2013).
  7. Schaller, William Lynch. The origin and evolution of the third party "refusal to deal" defense in Illinois corporate opportunity cases. 46 J. Marshall L. Rev. 937-1037 (2013).
  8. Feerick, John D. A new model of corporate social responsibility in the 21st century. 25 Fordham Envtl. L. Rev. 1-9 (2013).
  9. Abate, Randall S. Corporate responsibility and climate justice: a proposal for a polluter-financed relocation fund for federally recognized tribes imperiled by climate change. 25 Fordham Envtl. L. Rev. 10-45 (2013).
  10. Williams, Cynthia A. and John M. Conley. Trends in the social [ir]responsibility of American multinational corporations: increased power, diminished accountability? 25 Fordham Envtl. L. Rev. 46-83 (2013).
  11. Ferrey, Steven. Corporate energy responsibility: international and domestic perspectives on supply and demand in the new millennium. 25 Fordham Envtl. L. Rev. 84-140 (2013).
  12. Spence, David B. Responsible shale gas production: moral outrage vs. cool analysis. 25 Fordham Envtl. L. Rev. 141-190 (2013).
  13. Zhang, Min and Xiaoyu Liang. Advances among debates: research on and practice of corporate social responsibility from the legal perspective in China. 25 Fordham Envtl. L. Rev. 191-250 (2013).

April 4, 2014

  1. Kelly, Michael J. "Never again"? German chemical corporation complicity in the Kurdish genocide. 31 Berkeley J. Int'l L. 348-391 (2013).
  2. Kwak, James. Corporate law constraints on political spending. 18 N.C. Bank. Inst. 251-295 (2013).
  3. Schneiberg, Marc. Organizational diversity and regulatory strategy in financial markets: possibilities for upgrading and reform. 18 N.C. Bank. Inst. 141-166 (2013).
  4. Vidal-Leon, Christian. Corporate social responsibility, human rights, and the World Trade Organization. 16 J. Int'l Econ. L. 893-920 (2013).
  5. Johnson, Simon. Keynote address: the continuing problem of "too big to fail." 18 N.C. Bank. Inst. 1-15 (2013).
  6. Barkow, Rachel E. Explaining and curbing capture. 18 N.C. Bank. Inst. 17-25 (2013).
  7. Ford, Christie. Financial innovation and flexible regulation: destabilizing the regulatory state. 18 N.C. Bank. Inst. 27-38 (2013).
  8. Caprio, Gerard. Regulatory capture: why it occurs, how to minimize it. 18 N.C. Bank. Inst. 39-50 (2013).
  9. Jenkins, Robert. A debate framed by fallacies. 18 N.C. Bank. Inst. 51-56 (2013).
  10. Noah, Tim. Income inequality: panel on financialization, economic opportunity, and the future of American democracy. 18 N.C. Bank. Inst. 57-64 (2013).
  11. Sporkin, Judge Stanley. The SEC can no longer regulate from behind. 18 N.C. Bank. Inst. 65-69 (2013).
  12. Admati, Anat. Financial regulation reform: politics, implementation, and alternatives. 18 N.C. Bank. Inst. 71-81 (2013).
  13. Waldman, Michael. Political accountability, campaign finance, and regulatory reform. 18 N.C. Bank. Inst. 83-90 (2013).
  14. Baxter, Lawrence G. Gotterdammerung. 18 N.C. Bank. Inst. 91-103 (2013).
  15. Cox, James D. Headwinds confronting the SEC. 18 N.C. Bank. Inst. 105-112 (2013).
  16. Partnoy, Frank. The right way to regulate from behind. 18 N.C. Bank. Inst. 113-121 (2013).
  17. McDonnell, Brett H. Designing countercyclical capital buffers. 18 N.C. Bank. Inst. 123-139 (2013).
  18. Tomaskovic-Devey, Donald and Ken-Hou Lin. Financialization: causes, inequality consequences, and policy implications. 18 N.C. Bank. Inst. 167-194 (2013).
  19. Carpenter, Daniel and Patricia A. McCoy. Keeping tabs on financial innovation: product identifiers in consumer financial regulation. 18 N.C. Bank. Inst. 195-225 (2013).
  20. Taylor, Michael W. Regulatory reform in the U.K. 18 N.C. Bank. Inst. 227-250 (2013).

April 11, 2014

  1. Hansmann, Henry and Mariana Pargendler. The evolution of shareholder voting rights: separation of ownership and consumption. 123 Yale L.J. 948-1013 (2014).
  2. Jacoby, Melissa B. and Edward J. Janger. Ice cube bonds: allocating the price of process in Chapter 11 bankruptcy. 123 Yale L.J. 862-947 (2014).
  3. Porter, Nicole Buonocore. A proposal to improve the workplace law curriculum from a corporate compliance perspective. 58 St. Louis U. L.J. 155-207 (2013)
  4. Smith, Richard C. Combating FCPA charges: is resistance futile? 54 Va. J. Int'l L. 157-171 (2013).
  5. Vischer, Robert K. Do for-profit businesses have free exercise rights? 21 J. Contemp. Legal Issues 369-399 (2013).
  6. Fairfax, Lisa M. Managing expectations: does the directors' duty to monitor promise more than it can deliver? 10 U. St. Thomas L.J. 416-448 (2012).
  7. McDonnell, Brett H. Meeting lowered expectations. 10 U. St. Thomas L.J. 449-459 (2012).
  8. Kaal, Wulf A. A comparative perspective on the limitations of the duty of oversight -- a comment on Lisa Fairfax. 10 U. St. Thomas L.J. 460-468 (2012).
  9. Korsmo, Charles R. High-frequency trading: a regulatory strategy. 48 U. Rich. L. Rev. 523-609 (2014).
  10. O'Hare, Jennifer. Synthetic CDOs, conflicts of interest, and securities fraud. 48 U. Rich. L. Rev. 667-731 (2014).
  11. Park, Junsun. Global expansion of national securities laws: extraterritoriality and jurisdictional conflicts. 12 U.N.H. L. Rev. 69-84 (2014).
  12. Steckman, Laurence A., Robert E. Conner and Stuart J. Rosenthal. Market impact, loss causation and multiple regression modeling--the importance of modular theories of damage causation in antitrust class certification motion practice after Comcast v. Behrend. [Reprint from 35 Sec. Ref. Act. Litig. Rep. 18, 2013.] 30 Touro L. Rev. 127-151 (2014).
  13. Tafara, Ethiopis. The man who shot Liberty Valance: the future of financial regulation. 54 Va. J. Int'l L. 1-8 (2013).
  14. Rauterberg, Gabriel V. and Andrew Verstein. Assessing transnational private regulation of the OTC derivatives market: ISDA, the BBA, and the future of financial reform. 54 Va. J. Int'l L. 9-50 (2013).
  15. Weidemaier, W. Mark C. and Mitu Gulati. A people's history of collective action clauses. 54 Va. J. Int'l L. 51-95 (2013).
  16. Sarfaty, Galit A. Human rights meets securities regulation. 54 Va. J. Int'l L. 97-126 (2013).
  17. Nichols, Philip M. Are facilitating payments legal? 54 Va. J. Int'l L. 127-155 (2013).

April 18, 2014

  1. Buckles, Johnny Rex. How deep are the springs of obedience norms that bind the overseers of charities. 62 Cath. U. L. Rev. 913-964 (2013).
  2. Harris, Lee. CEO retention. 65 Fla. L. Rev. 1753-1802 (2013).
  3. Ho, Virginia Harper. Of enterprise principles and corporate groups: does corporate law reach human rights? 52 Colum. J. Transnat'l L. 113-172 (2013).

April 25, 2014

  1. Bakken, Tim. Dodd-Frank's caveat emptor: new criminal liability for individuals and corporations. 48 Wake Forest L. Rev. 1173-1203 (2013).
  2. Bodie, Matthew T. Participation as a theory of employment. 89 Notre Dame L. Rev. 661-726 (2013).
  3. Dammann, Jens. The mandatory law puzzle: redefining American exceptionalism in corporate law. 65 Hastings L.J. 441-499 (2014).
  4. Foley, Stephen P. Something not so simple: sale of S corporation stock or assets for contingent payment obligations. 67 Tax Law. 89-141 (2013).
  5. Sokol, D. Daniel. Policing the firm. 89 Notre Dame L. Rev. 785-848 (2013).
  6. Stephens, Beth. Are corporations people? Corporate personhood under the Constitution and international law: an essay in honor of Professor Roger S. Clark. 44 Rutgers L.J. 1-38 (2013).
  7. Tyler, John. Analyzing effects and implications of regulating charitable hybrid forms as charitable trusts: round peg and a square hole? 9 N.Y.U. J.L. & Bus. 535-586 (2013).
  8. Hochberg, Jeffrey D. and Michael Ochowski. What looks the same may not be the same: the tax treatment of securities reopenings. 67 Tax Law. 143-186 (2013).

May 2, 2014