“Securities Law and the New Deal Justices”

  • Corporate and Securities Law
Virginia Law Review
2009

“London as Delaware?”

  • Corporate and Securities Law
Regulation
2009

“Monitoring of Corporate Groups by Independent Directors”

  • Corporate and Securities Law
Journal of Korean Law
2009

“Do Investors in Controlled Firms Value Insider Trading Laws? International Evidence”

  • Corporate and Securities Law
Journal of Law, Economics, and Policy
2008

“Optimal Agency Contracts: The Effect of Vicarious Liability and Judicial Error”

  • Corporate and Securities Law
International Review of Law and Economics
2008

“Completing Contracts in the Shadow of Costly Verification”

  • Corporate and Securities Law
Journal of Legal Studies
2008

“Stoneridge Investment Partners v. Scientific-Atlanta: The Political Economy of Securities Class Action Reform”

  • Corporate and Securities Law
Cato Supreme Court Review
2008

“An Inclusive, Progressive National Savings and Financial Services Policy”

  • Corporate and Securities Law
Harvard Law and Policy Review
2007

“A Critique of the Odious Debt Doctrine”

  • Corporate and Securities Law
Law and Contemporary Problems
2007

“Insider Trading Laws and Stock Markets Around the World: An Empirical Contribution to the Theoretical Law and Economics Debate”

  • International and Comparative Law
  • Corporate and Securities Law
Journal of Corporation Law
2007

“Insider Trading Rules Can Affect Attractiveness of Country’s Stock Markets”

  • Corporate and Securities Law
Law Quadrangle Notes
2007

“The Investor Compensation Fund”

  • Corporate and Securities Law
Journal of Corporation Law
2007

“Successor Liability and Asymmetric Information”

  • Corporate and Securities Law
American Law and Economics Review
2007

“Do the Merits Matter More? The Impact of the Private Securities Litigation Reform Act”

  • Corporate and Securities Law
  • Litigation
Journal of Law, Economics and Organization
2007

“Credit Where It Counts: Maintaining a Strong Community Reinvestment Act”

  • Corporate and Securities Law
Western New England Law Review
2006

“The Irrational Auditor and Irrational Liability”

  • Corporate and Securities Law
Lewis and Clark Law Review
2006

“Boilerplate Today: The Rise of Modularity and the Waning of Consent”

  • Corporate and Securities Law
Michigan Law Review
2006

“Do Insider Trading Laws Matter? Some Preliminary Comparative Evidence”

  • Corporate and Securities Law
American Law and Economics Review
2005

“The SEC at 70: Time for Retirement?”

  • Corporate and Securities Law
Law Quadrangle Notes
2005

“Do Institutions Matter? The Impact of the Lead Plaintiff Provision of the Private Securities Litigation Reform Act”

  • Corporate and Securities Law
Washington University Law Quarterly
2005

“The SEC at 70: Time for Retirement?”

  • Corporate and Securities Law
Notre Dame Law Review
2005

“What Counts as Fraud? An Empirical Study of Motions to Dismiss Under the Private Securities Litigation Reform Act”

  • Corporate and Securities Law
Journal of Empirical Legal Studies
2005

“Behavioral Economics and the SEC”

  • Corporate and Securities Law
Corporate Practice Commentator
2005

“Golden Parachute as a Compensation Shifting Mechanism”

  • Corporate and Securities Law
Journal of Law, Economics and Organization
2004

“Should Issuers be on the Hook for Laddering? An Empirical Analysis of the IPO Market Manipulation Litigation”

  • Corporate and Securities Law
University of Cincinnati Law Review
2004

“Property and Precision”

  • Corporate and Securities Law
Tulsa Law Review
2004

“Tender Offers by Controlling Shareholders: The Specter of Coercion and Fair Price”

  • Corporate and Securities Law
Berkeley Business Law Journal
2004

“Behavioral Economics and the SEC”

  • Corporate and Securities Law
Stanford Law Review
2003

“Too Busy to MInd. the Business? Monitoring by Directors with Multiple Board Appointments”

  • Corporate and Securities Law
The Journal of Finance
2003

“Should Congress Repeal Securities Class Action Reform?”

  • Corporate and Securities Law
Cato Policy Analysis
2003

“Justice Lewis F. Powell, Jr. and the Counterrevolution in the Federal Securities Laws”

  • Corporate and Securities Law
Duke Law Journal
2003

“Self-Regulation and Securities Markets”

  • Corporate and Securities Law
Regulation
2003

“U. S. Secondary Stock Markets: A Survey of Current Regulatory and Structural Issues and a Reform Proposal to Enhance Competition”

  • Corporate and Securities Law
Columbia Business Law Review
2002

“Who Cares?”

  • Corporate and Securities Law
Washington University Law Quarterly
2002

“Statutes with Multiple Personality Disorders: The Value of Ambiguity in Statutory Design and Interpretation”

  • Corporate and Securities Law
Stanford Law Review
2002

“Corporations and Human Rights: A Theory of Legal Responsibility”

  • Corporate and Securities Law
  • Human Rights
Yale Law Journal
2001

“The AMC’s Debt-for-Equity Swaps: Opportunities for Foreign Capital?”

  • Corporate and Securities Law
China Business Review
2001

“Markets as Monitors: A Proposal to Replace Class Actions with Exchanges as Securities Fraud Enforcers”

  • Corporate and Securities Law
Securities Law Review
2001

“In re Silicon Graphics Inc.: Shareholder Wealth Effects Resulting from the Interpretation of the Private Securities Litigation Reform Act’s Pleading Standard”

  • Corporate and Securities Law
Corporate Practice Commentator
2001

“Insider Trading Law, Enforcement, Ownership Structure and Stock Market Liquidity: A Comparative Empirical Analysis”

  • Corporate and Securities Law
FSR Forum
2000

“In re Silicon Graphics Inc.: Shareholder Wealth Effects Resulting from the Interpretation of the Private Securities Litigation Reform Act’s Pleading Standard”

  • Corporate and Securities Law
  • Litigation
Southern California Law Review
2000

“Constitutional Federalism, Individual Liberty, and the Securities Litigation Uniform Standards Act of 1998”

  • Corporate and Securities Law
  • Litigation
Washington University Law Quarterly
2000

“Markets as Monitors: A Proposal to Replace Class Actions with Exchanges as Securities Fraud Enforcers”

  • Corporate and Securities Law
Virginia Law Review
1999

“United States v. O’Hagan: Agency Law and Justice Powell’s Legacy for the Law of Insider Trading”

  • Corporate and Securities Law
Securities Law Review
1999

“Finding the Constitution: An Economic Analysis of Tradition’s Role in Constitutional Interpretation”

  • Constitutional Law
  • Corporate and Securities Law
North Carolina Law Review
1999

“Constitutions and Spontaneous Orders: A Response to Professor McGinnis”

  • Constitutional Law
  • Corporate and Securities Law
North Carolina Law Review
1999

“United States v. O’Hagan: Agency Law and Justice Powell’s Legacy for the Law of Insider Trading”

  • Corporate and Securities Law
Corporate Practice Commentator
1999

“The Securities Litigation Uniform Standards Act of 1998: The Sun Sets on California’s Blue Sky Laws”

  • Corporate and Securities Law
  • Litigation
Business Lawyer
1998

“United States v. O’Hagan: Agency Law and Justice Powell’s Legacy for the Law of Insider Trading”

  • Corporate and Securities Law
Boston University Law Review
1998

“Flood of Legislation Clears the Way for New Corporate Forms - But Are They Worth It?”

  • Corporate and Securities Law
China Joint Venturer
1997