Dated: 1/22/2014

2013 Articles CORPORATIONS & SECURITIES REGULATION

January 4, 2013

  1. Armour, John, Bernard Black and Brian Cheffins. Is Delaware losing its cases? 9 J. Empirical Legal Stud. 605-656 (2012).
  2. Coates, John C. IV. Corporate politics, governance, and value before and after Citizens United. 9 J. Empirical Legal Stud. 657-696 (2012).
  3. Colombo, Ronald J. The corporation as a Tocquevillian association. 85 Temp. L. Rev. 1-47 (2012).
  4. Warburton, A. Joseph. Competition in financial services: evidence from British mutual funds. 9 J. Empirical Legal Stud. 827-858 (2012).

January 11, 2013

  1. Perry, Frederick V. Multinationals at risk: terrorism and the rule of law. 7 FIU L. Rev. 43-86 (2011).

January 18, 2013

  1. Barker, William B. A common sense corporate tax: the case for a destination-based, cash flow tax on corporations. 61 Cath. U. L. Rev. 955-1011 (2012).
  2. Bazyler, Michael and Jennifer Green. Nuremberg-era jurisprudence redux: the Supreme Court in Kiobel v. Royal Dutch Petroleum Co. and the legal legacy of Nuremberg. 7 Charleston L. Rev. 23-61 (2012).
  3. Sharpe, Nicola Faith. Questioning authority: the critical link between board power and process. 38 J. Corp. L. 1-51 (2012).
  4. Alces, Kelli A. and Brian D. Galle. The false promise of risk-reducing incentive pay: evidence from executive pensions and deferred compensation. 38 J. Corp. L. 53-100 (2012).
  5. Hayden, Grant M. and Matthew T. Bodie. The bizarre law and economics of Business Roundtable v. SEC. 38 J. Corp. L. 101-137 (2012).

January 25, 2013

  1. Velasco, Julian. The role of aspiration in corporate fiduciary duties. 54 Wm. & Mary L. Rev. 519-586 (2012).
  2. Macey, Jonathan and Caroline Novogrod. Enforcing self-regulatory organization's penalties and the nature of self-regulation. 40 Hofstra L. Rev. 963-1003 (2012).
  3. Park, James J. Securities class actions and bankrupt companies. 111 Mich. L. Rev. 547-590 (2013).

February 1, 2013

  1. Blank, Joshua D. and Nancy Staudt. Corporate shams. 87 N.Y.U. L. Rev. 1641-1712 (2012).
  2. Gold, Andrew S. Dynamic fiduciary duties. 34 Cardozo L. Rev. 491-530 (2012).
  3. Hristova, Mirela V. The Alien Tort Statute: a vehicle for implementing the United Nations Guiding Principles for Business and Human Rights and promoting corporate social responsibility. 47 U.S.F. L. Rev. 89-108 (2012).
  4. Moberly, Richard. Sarbanes-Oxley's whistleblower provisions: ten years later. 64 S.C. L. Rev. 1-54 (2012).
  5. Oldani, Jessica L. Rehabilitating the U.S. corporate income tax system in light of current realities and 26 U.S.C. Section 965. 46 Int'l Law. 709-740 (2012).
  6. Pollman, Elizabeth. Information issues on Wall Street 2.0. 161 U. Pa. L. Rev. 179-241 (2012).
  7. Schwartz, Jeff. The twilight of equity liquidity. 34 Cardozo L. Rev. 531-607 (2012).
  8. Omarova, Saule T. License to deal: mandatory approval of complex financial products. 90 Wash. U. L. Rev. 63-140 (2012).
  9. Wang, Mian R. Securities arbitration: an alternative form of dispute resolution for public investors in China. 46 Int'l Law. 691-707 (2012).
  10. Woody, Karen E. Conflict minerals legislation: the SEC's new role as diplomatic and humanitarian watchdog. 81 Fordham L. Rev. 1315-1351 (2012).

February 8, 2013

  1. Dent, George W., Jr. Corporate governance: the Swedish solution. 64 Fla. L. Rev. 1633-1668 (2012).
  2. Eyal-Cohen, Mirit. Why is small business the chief business of Congress? 43 Rutgers L.J. 1-57 (2011/2012).
  3. Lewis, Paul B. Business insolvency and the Irish debt crisis. 11 Rich. J. Global L. & Bus. 407-446 (2012).
  4. Schwarcz, Steven L. The use and abuse of special-purpose entities in public finance. 97 Minn. L. Rev. 369-406 (2012).
  5. Kennedy, Kathryn J. The use of federal law to curb excessive executive compensation: lessons in past failures and lessons for the future. 57 Vill. L. Rev. 551-570 (2012).
  6. Lund, Andrew C.W. Tax's triviality as a pay-reforming device. 57 Vill. L. Rev. 571-587 (2012).
  7. Mullane, Joy Sabino. Perfect storms: congressional regulation of executive compensation. 57 Vill. L. Rev. 589-633 (2012).
  8. Polsky, Gregg D. Fixing section 409A: legislative and administrative options. 57 Vill. L. Rev. 635-651 (2012).
  9. Walker, David I. Who bears the cost of excessive executive compensation (and other corporate agency costs)? 57 Vill. L. Rev. 653-673 (2012).
  10. Lipson, Jonathan C.Re: Defining Securitization , 85 S. Cal. L. Rev. 1229-1281 (2012).
  11. Schwarcz, Steven L What Is Securitization: And For What Purpose , 85 S. Cal. L. Rev. 1283-1299 (2012)..
  12. Lipson, Jonathan C.Why (and How to) Defined Securitization: A Sur-Reply to Professor Schwarcz, 85 S. Cal. L. Rev. 1301-1312 (2012).

February 15, 2013

  1. Fox, Mark A., Gordon R. Walker and Alma Pekmezovic. Corporate governance research on New Zealand listed companies. 29 Ariz. J. Int'l & Comp. L. 1-47 (2012).

February 22, 2013

  1. Baird, Douglas G. and Anthony J. Casey. No exit? Withdrawal rights and the law of corporate reorganizations. 113 Colum. L. Rev. 1-52 (2013).
  2. Harner, Michelle M. and Jamie Marincic. The naked fiduciary. 54 Ariz. L. Rev. 879-938 (2012).
  3. Marian, Omri Y. Meaningless comparisons: corporate tax reform discourse in the United States. 32 Va. Tax Rev. 133-204 (2012).
  4. Wrona, James S. The best of both worlds: a fact-based analysis of the legal obligations of investment advisers and broker-dealers and a framework for enhanced investor protection. 68 Bus. Law. 1-56 (2012).
  5. Veasey, E. Norman and Christine T. Di Guglielmo. General counsel buffeted by compliance demands and client pressures may face personal peril. 68 Bus. Law. 57-80 (2012).
  6. Goodgame, John. New developments in master limited partnership governance. 68 Bus. Law. 81-101 (2012).
  7. Klees, Edward H. How safe are institutional assets in a custodial bank's insolvency? 68 Bus. Law. 103-135 (2012).
  8. Grundfest, Joseph A. The history and evolution of intra-corporate forum selection clauses: an empirical analysis. 37 Del. J. Corp. L. 333-410 (2012).
  9. Leahy, Joseph K. The irrepressible myths of BarChris. 37 Del. J. Corp. L. 411-500 (2012).
  10. Bishop, Gary M. A framework for analyzing attorney liability under section 10(b) and Rule 10b-5. 10 U.N.H. L. Rev. 193-238 (2012).

March 1, 2103

  1. Boozang, Kathleen M. Responsible corporate officer doctrine: when is falling down on the job a crime? 6 St. Louis U. J. Health L. & Pol'y 77-112 (2012).
  2. Gilchrist, Gregory M. The expressive cost of corporate immunity. 64 Hastings L.J. 1-56 (2012).
  3. Vogel, Glen M. Clinton, campaigns, and corporate expenditures: the Supreme Court's recent decision in Citizens United and its impact on corporate political influence. 86 St. John's L. Rev. 183-210 (2012).
  4. Kaal, Wulf A. Contingent capital in executive compensation. 69 Wash. & Lee L. Rev. 1821-1889 (2012).
  5. Levene, Douglas B. Credit default swaps and insider trading. 7 Va. L. & Bus. Rev. 231-300 (2012).
  6. Martin, Cary. Is systemic risk prevention the new paradigm? A proposal to expand investor protection principles to the hedge fund industry. 86 St. John's L. Rev. 87-141 (2012).
  7. Steinberg, Marc I. and Kelly Flanagan. Transnational dealings--Morrison continues to make waves. 46 Int'l Law. 829-865 (2012).
  8. Tuch, Andrew F. Conflicted gatekeepers: the Volcker Rule and Goldman Sachs. 7 Va. L. & Bus. Rev. 365-420 (2012).

March 8, 2013

  1. Gordon, Jeffrey N. Corporate governance and executive compensation in financial firms: the case for convertible equity-based pay. 2012 Colum. Bus. L. Rev. 834-864.
  2. Vega, Matt A. Beyond incentives: making corporate whistleblowing moral in the new era of Dodd-Frank Act "bounty hunting." 45 Conn. L. Rev. 483-547 (2012).
  3. Wagner, Robert E. Mission impossible: a legislative solution for excessive executive compensation. 45 Conn. L. Rev. 549-593 (2012).
  4. Deniz, Ozden. The importance of corporate governance for a well functioning financial system: reforming corporate governance in developing countries. 14 Duq. Bus. L.J. 219-228 (2012).
  5. Alshorbagy, Ahmad A. On the failure of a legal transplant: the case of Egyptian takeover law. 22 Ind. Int'l & Comp. L. Rev. 237-266 (2012).
  6. Langevoort, Donald C. and Robert B. Thompson. "Publicness" in contemporary securities regulation after the JOBS Act. 101 Geo. L.J. 337-386 (2013).
  7. Mendales, Richard E. Fitting an old tiger with new teeth: protecting public employee funds investing in complex financial instruments. 96 Marq. L. Rev. 241-313 (2012).
  8. Yadav, Yesha The Problematic Case of Clearinghouses in Complex Markets. 101 Geo. L.J. 387-444 (2013).
  9. Levitin,Adam J.Response, TheTenuous Case of Clearinghouses in Complex Markets 101 Geo. L.J. 387-445-466 (2013).

March 15, 2013

  1. Dibadj, Reza. Reactionary reform and fundamental error. 39 W. St. U. L. Rev. 281-300 (2012).
  2. Burch, Elizabeth Chamblee. Governing securities class actions. 80 U. Cin. L. Rev. 299-314 (2011).
  3. Willging, Thomas E. and Emery G. Lee III. Class certification and class settlement: findings from federal question cases 2003-2007. 80 U. Cin. L. Rev. 315-347 (2011).
  4. Johnson, Jennifer J. Securities class actions in state court. 80 U. Cin. L. Rev. 349-388 (2011).
  5. Mullenix, Linda S. Dubious doctrines: the quasi-class action. 80 U. Cin. L. Rev. 389-429 (2011).
  6. Conaway, Ann E. and student Peter I. Tsoflias. Challenging traditional thought: no default fiduciary duties in Delaware limited liability companies after Auriga. 13 J. Bus. & Sec. L. 1-33 (2012).
  7. Groshoff, David. Would "junkholder primacy" reduce junk corporate governance? 13 J. Bus. & Sec. L. 59-142 (2012).
  8. Leonard, Elizabeth Weeks, Susan Scholz and Raquel Meyer Alexander. Employers united: an empirical analysis of corporate political speech in the wake of the Affordable Care Act. 38 J. Corp. L. 217-257 (2013).
  9. Strong, S.I. Mass procedures as a form of "regulatory arbitration"--Abaclat v. Argentine Republic and the international investment regime. 38 J. Corp. L. 259-324 (2013).
  10. Yockey, Joseph W. Choosing governance in the FCPA reform debate. 38 J. Corp. L. 325-380 (2013).
  11. Field, Heather M. Throwing the red flag: challenging the NFL's lessons for American business. 38 J. Corp. L. 381-397 (2013).
  12. Oesterle, Dale A. Repair or Replace: Lifting SEC Regulation from Patchwork to Permanence. 7 Entrepren. Bus. L.J. 283-285 (2012).
  13. Campbell, Rutheford B, Jr. The wreck of Regulation D: the unintended (and bad) outcomes for the SEC's crown jewel exemptions. 7 Entrepren. Bus. L.J. 287-315 (2012).
  14. Campbell, Rutheford B, Jr. Regulation A and the JOBS Act: a failure to resuscitate. 7 Entrepren. Bus. L.J. 317-333 (2012).
  15. Heminway, Joan MacLeod. What is a security in the crowdfunding era? 7 Entrepren. Bus. L.J. 335-371 (2012).
  16. Palmiter, Alan R. Pricing disclosure: crowdfunding's curious conundrum. 7 Entrepren. Bus. L.J. 373-427 (2012).
  17. Park, James J. Two trends in the regulation of the public corporation. 7 Entrepren. Bus. L.J. 429-449 (2012).
  18. Ebersole, Dave. Reforming Ohio corporate law and securities regulation to facilitate investment in Ohio. 7 Entrepren. Bus. L.J. 451-528 (2012).
  19. Henning, Peter J. Be careful what you wish for: thoughts on a compliance defense under the Foreign Corrupt Practices Act. 73 Ohio St. L.J. 883-928 (2012).
  20. Koehler, Mike. The story of the Foreign Corrupt Practices Act. 73 Ohio St. L.J. 929-1013 (2012).
  21. Chow, Daniel. The interplay between China's anti-bribery laws and the Foreign Corrupt Practices Act. 73 Ohio St. L.J. 1015-1037 (2012).
  22. Stewart, Carter. The FCPA is just as relevant and necessary today as thirty-five years ago. 73 Ohio St. L.J. 1039-1047 (2012).
  23. Crites, D. Michael. The Foreign Corrupt Practices Act at thirty-five: a practitioner's guide. 73 Ohio St. L.J. 1049-1068 (2012).
  24. Rose, Paul. State capitalism and the Foreign Corrupt Practices Act. 73 Ohio St. L.J. 1069-1091 (2012).
  25. Black, Barbara. The SEC and the Foreign Corrupt Practices Act: fighting global corruption is not part of the SEC's mission. 73 Ohio St. L.J. 1093-1119 (2012).
  26. Hess, David. Enhancing the effectiveness of the Foreign Corrupt Practices Act through corporate social responsibility. 73 Ohio St. L.J. 1121-1144 (2012).
  27. Urofsky, Philip, Hee Won (Marina) Moon and Jennifer Rimm. How should we measure the effectiveness of the Foreign Corrupt Practices Act? Don't break what isn't broken--the fallacies of reform. 73 Ohio St. L.J. 1145-1179 (2012).
  28. Alldridge, Peter. The U.K. Bribery Act: "the caffeinated younger sibling of the FCPA." 73 Ohio St. L.J. 1181-1216 (2012).
  29. Westbrook, Amy Deen. Double trouble: collateral shareholder litigation following Foreign Corrupt Practices Act investigations. 73 Ohio St. L.J. 1217-1252 (2012).
  30. Alford, Roger P. A broken windows theory of international corruption. 73 Ohio St. L.J. 1253-1282 (2012).
  31. Chaffee, Eric C. The role of the Foreign Corrupt Practices Act and other transnational anti-corruption laws in preventing or lessening future financial crises. 73 Ohio St. L.J. 1283-1319 (2012).
  32. Van Alstine, Michael P. Treaty double jeopardy: the OECD Anti-Bribery Convention and the FCPA. 73 Ohio St. L.J. 1321-1352 (2012).

March 22, 2013

  1. Blitt, Robert C. BeyondRuggie's guiding principles on business and human rights: charting an embracive approach to corporate human rights compliance. 48 Tex. Int'l L.J. 33-62 (2012).
  2. Morse, Susan C. A corporate offshore profits transition tax. 91 N.C. L. Rev. 549-605 (2013).
  3. Donelson, Dain C. and Robert A. Prentice. Scienter pleading and rule 10b-5: empirical analysis and behavioral implications. 63 Case W. Res. L. Rev. 441-509 (2012).
  4. Nagy, Donna M. and Richard W. Painter. Selective disclosure by federal officials and the case for an FGD (fairer government disclosure) regime. 2012 Wis. L. Rev. 1285-1365.

March 29, 2013

  1. Green, Bruce A. and Ellen S. Podgor. Unregulated internal investigations: achieving fairness for corporate constituents. 54 B.C. L. Rev. 73-126 (2013).
  2. Koehler, Mike. The Foreign Corrupt Practices Act under the microscope. 15 U. Pa. J. Bus. L. 1-63 (2012).
  3. Mehra, Salil. Platforms, teamwork and creativity: mediating hierarchs in the new economy. 9 J.L. Econ.Pol'y 15-27 (2012).
  4. Whelan, Christopher J. and NetaZiv. Law firm ethics in the shadow of corporate social responsibility. 26 Geo. J. Legal Ethics 153-182 (2013).
  5. Cleveland, Steven J. Resurrecting deference to the Securities and Exchange Commission: Mark Cuban and trading on inside information. 65 Fla. L. Rev. 73-109 (2013).
  6. Guttentag, Michael D. Patching a hole in the JOBS Act: how and why to rewrite the rules that require firms to make periodic disclosures. 88 Ind. L.J. 151-212 (2013).
  7. Simkovic, Michael. Competition and crisis in mortgage securitization. 88 Ind. L.J. 213-271 (2013).

April 5, 2013

  1. Matambanadzo, Saru M. The body, incorporated. 87 Tul. L. Rev. 457-509 (2013).

April 12, 2013

  1. Ayotte, Kenneth and Henry Hansmann. Legal entities as transferable bundles of contracts. 111 Mich. L. Rev. 715-758 (2013).
  2. Booth, Richard A. Index funds and securities fraud litigation. 64 S.C. L. Rev. 265-321 (2012).
  3. Oh, Peter B. Veil-piercing unbound. 93 B.U. L. Rev. 89-137 (2013).
  4. Shavers, Anna Williams. Human trafficking , the rule of law, and corporate social responsibility. 9 S.C. J. Int'l L. & Bus. 39-88 (2012).
  5. Bales, Richard A. and Mark B. Gerano. Determining the proper standard for invalidating arbitration agreements based on high prohibitive costs: a discussion on the varying applications of the case-by-case rule. 14 Transactions 57-77 (2012).
  6. Marcum, Tanya M. and Eden S. Blair. In search of a unique identity: the L3C as a socially recognized brand. 14 Transactions 79-93 (2012).
  7. Kerem, David. Change we can believe in: comparative perspectives on the criminalization of corporate negligence. 14 Transactions 95-115 (2012).
  8. Wunderlich, John M. "Uniform" standards for securities class actions. 80 Tenn. L. Rev. 167-210 (2012).

April 19, 2013

  1. Jordan, Cally. Cadbury twenty years on. 58 Vill. L. Rev. 1-24 (2013).
  2. Marineau, Paul K. International corporate tax reform: it's time to "walk-the-talk" (no more platypuses, please). 40 Syracuse J. Int'l L. & Com. 29-117 (2012).
  3. Morrissey, Daniel J. M&A fiduciary duties: Delaware's murky jurisprudence. 58 Vill. L. Rev. 121-167 (2013).
  4. Narine, Marcia. Whistleblowers and rogues: an urgent call for an affirmative defense to corporate criminal liability. 62 Cath. U. L. Rev. 41-89 (2012).
  5. Nelson, William Alan II. Post-Citizens United: using shareholder derivative claims of corporate waste to challenge corporate independent political expenditures. 13 Nev. L.J. 134-173 (2012).
  6. Spahn, Elizabeth K. Multijurisdictional bribery law enforcement: the OECD Anti-Bribery Convention. 53 Va. J. Int'l L. 1-52 (2012).
  7. Winship, Verity. Bargaining for exclusive state court jurisdiction. 1 Stanford J. Complex Litig. 51-105 (2012).
  8. Black, Barbara and Jill I. Gross. Investor protection meets the Federal Arbitration Act. 1 Stanford J. Complex Litig. 1-49 (2012).
  9. Heyen, Lindsay J. Publicly traded oil & gas royalty trusts. 8 Tex. J. Oil Gas & Energy L. 1-26 (2012-2013).
  10. Hunt, Sinead. Refining black gold: the Dodd-Frank Act and corruption in the oil industry. 16 UCLA J. Int'l L. & Foreign Aff. 41-75 (2011).

April 26, 2013

  1. Belloc, Marianna and Ugo Pagano. Politics-business co-evolution paths: workers' organization and capitalist concentration. 33 Int'l Rev. L. & Econ. 23-36 (2013).
  2. Jackson, Robert J., Jr. Private equity and executive compensation. 60 UCLA L. Rev. 638-677 (2013).
  3. Newman, Andrew. The green corporate citizen? Renovating the corporation to institutionalize environmental sustainability. 15 Asia Pac. J. Envtl. L. 125-145 (2012).
  4. Richter, Ansgar and Christian Weiss. Determinants of ownership concentration in public firms: the importance of firm-, industry-and country-level factors. 33 Int'l Rev. L. & Econ. 1-14 (2013).
  5. Mollett, Scott H. Intracorporate opportunism: redistributional compensation and fixing underexposed abuses of corporate wealth. 9 Hastings Bus. L.J. 141-193 (2013).
  6. Kibbie, Kelly S. Dancing with the derivatives devil: mutual funds' dangerous liaison with complex investment contracts and the forgotten lessons of 1940. 9 Hastings Bus. L.J. 195-260 (2013).
  7. Peled, Roy. Occupy information: the case for freedom of corporate information. 9 Hastings Bus. L.J. 261-301 (2013).
  8. McGee, Robert W., Yeomin Yoon and Thomas Tarangelo. The timeliness of financial reporting: an empirical legal study of Russian banks. 9 Hastings Bus. L.J. 303-325 (2013).
  9. Booth, Richard A. Partnership law and the single entity defense. 18 Stan. J.L. Bus. & Fin. 1-39 (2012).
  10. Heller, J. Dean. What's in a name: mezzanine debt versus preferred equity, 18 Stan. J.L. Bus. & Fin. 40-71 (2012).
  11. Hockett, Robert. It takes a village: municipal condemnation proceedings and public/private partnerships for mortgage loan modification, value preservation, and local economic recovery. 18 Stan. J.L. Bus. & Fin. 121-176 (2012).
  12. Larson, Thomas Frank. Corporate tax risks: a call for greater audit committee involvement. 13 UC Davis Bus. L.J. 39-60 (2012).
  13. Zhang, Claudia Ling-yun. How to solve the dilemma of small business finance: a proposal for creditors' statutory information right. 13 UC Davis Bus. L.J. 129-175 (2012).
  14. Choi, Stephen J., Mitu Gulati and Eric A. Posner. How well do measures of judicial ability predict judicial performance?: a case study using securities class actions. 33 Int'l Rev. L. & Econ. 37-53 (2013).
  15. Eckhart, Sonny. A nudged solution to securities fraud. 54 S. Tex. L. Rev. 81-137 (2012).
  16. Sepinwall, Amy J. Righting others' wrongs: a critical look at clawbacks in Madoff-type Ponzi schemes and other frauds. 78 Brook. L. Rev. 1-64 (2012).
  17. Lin, Tom C.W. The new investor. 60 UCLA L. Rev. 678-735 (2013).
  18. Becker, Bo, and Guhan Subramanian. Improving director elections. 3 Harv. Bus. L. Rev. 1-34 (2013).
  19. Choi, Stephen, Jill Fisch, and Marcel Kahan. Who Calls the Shots? How Mutual Funds Vote on Director Elections.3 Harv. Bus. L. Rev. 35-82 (2013).
  20. Lorsch,Jay W. America’s Changing Corporate Boardrooms: The Last Twenty-Five Years.3 Harv. Bus. L. Rev. 119-134 (2013).
  21. Emmerich, Adam O., Theodore N. Mirvis, Eric S. Robinson, and William Savitt. Fair Markets and Fair Disclosure: Some Thoughts on the Law and Economics of Blockholder Disclosure, and the Use and Abuse of Shareholder Power.3 Harv. Bus. L. Rev. 135-156 (2013).
  22. Bebchuk, Lucian, Scott Hirst, and June Rhee. Towards the Declassification of S&P 500 Boards.3 Harv. Bus. L. Rev. 157-184 (2013).

May 3, 2013

  1. Atkinson, Rob. The foundations of neo-classical professionalism in law and business. 10 Geo. J.L. & Pub. Pol'y 429-491 (2012).
  2. Fisher, William O. When the government attempts to change the board, investors should know. 40 Pepp. L. Rev. 533-599 (2013).
  3. Mathieu, Emilie. Beyond Wall Street: Germany, the United States, and executive compensation. 38 Brook. J. Int'l L. 579-653 (2013).
  4. Morrissey, Joseph F. A contractarian critique of Citizens United. 15 U. Pa. J. Const. L. 765-830 (2013).
  5. Padfield, Stefan J. The silent role of corporate theory in the Supreme Court's campaign finance cases. 15 U. Pa. J. Const. L. 831-864 (2013).
  6. Schaller, William Lynch. Corporate opportunities and corporate competition in Illinois: a comparative discussion of fiduciary duties. 46 J. Marshall L. Rev. 1-35 (2012).
  7. Van Erp, Judith. Messy business: media representations of administrative sanctions for corporate offenders. 35 Law & Pol'y 109-139 (2013).
  8. Wells, Harwell. "Corporation law is dead": heroic managerialism, legal change, and the puzzle of corporation law at the height of the American century. 15 U. Pa. J. Bus. L. 305-356 (2013).
  9. Abrantes-Metz, Rosa M., Gabriel Rauterberg and Andrew Verstein. Revolution in manipulation law: the new CFTC rules and the urgent need for economic and empirical analyses. 15 U. Pa. J. Bus. L. 357-418 (2013).
  10. Packin, NizanGeslevich. It's (not) all about the money: using behavioral economics to improve regulation of risk management in financial institutions. 15 U. Pa. J. Bus. L. 419-482 (2013).
  11. Kwak, James. Improving retirement savings options for employees. 15 U. Pa. J. Bus. L. 483-540 (2013).
  12. Morrissey, Daniel J. Executive compensation and income inequality. 4 Wm. & Mary Bus. L. Rev. 1-35 (2013).
  13. Juedes, Dieter. Taming the FCPA overreach through an adequate procedures defense. 4 Wm. & Mary Bus. L. Rev. 37-66 (2013).
  14. Allmendinger, Christoph. Company law in the European Union and the United States: a comparative analysis of the impact of the EU Freedoms of Establishment and Capital and the U.S. Interstate Commerce Clause. 4 Wm. & Mary Bus. L. Rev. 67-109 (2013).
  15. Manasfi, Julie A.D. Systemic risk and Dodd-Frank's Volcker rule. 4 Wm. & Mary Bus. L. Rev. 181-212 (2013).
  16. Mazando, Frederick H. The taxonomy of global securities: is the U.S. definition of a security too broad? 33 Nw. J. Int'l L. & Bus. 121-197 (2012).

May 10, 2013