The Regulation of Public Auditing in Canada and the United States: Self-Regulation or Government Regulation?

  • Corporate and Securities Law
2006

“Well-Known Seasoned Issuers in Canada”

  • Corporate and Securities Law
Canada Steps Up
2006

“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

Securities Regulation: Cases and Analysis

  • Corporate and Securities Law
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

“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

“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

“Self-Regulation and Trust in the Securities Markets”

  • Corporate and Securities Law
Self-Regulation in the Korean Securities Market
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

“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

“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

“Legalize It? A Demand‐Side Strategy for the War on Drugs”

Chicago Policy Review
1997

“Civil Forfeiture as a Tax”

Taxing Choice: The Predatory Politics of Fiscal Discrimination
1997

“Auctioning Justice: Legal and Market Mechanisms for Allocating Criminal Appellate Counsel”

  • Corporate and Securities Law
American Criminal Law Review
1997

“The New Securities Class Actions: Federal Obstacles, State Detours”

  • Corporate and Securities Law
Arizona Law Review
1997

Review of A License to Steal: The Forfeiture of Property by Leonard W. Levy

Cato Journal
1996

“Civil Forfeiture and the War on Drugs: Lessons from Economics and History”

San Diego Law Review
1996

“Innocence Lost: Bennis V. Michigan and the Forfeiture Tradition”

Missouri Law Review
1996

“O’Melveny Meyers v. FDIC: Imputation of Fraud and Optimal Monitoring”

Supreme Court Economic Review
1995

“The Price of Prohibition”

Arizona Law Review
1994

“Rewriting the Constitution: An Economic Analysis of the Constitutional Amendment Process”

  • Constitutional Law
Fordham Law Review
1993

“Government Promises and Due Process: An Economic Analysis of the ‘New Property’ ”

Virginia Law Review
1991

The Business of Securities Class Action Lawyering

The In Crowd? The Effect of Appearance, Ethnicity, and Gender on the Career Paths of SEC Enforcement Attorneys

Securities Regulation: Cases and Analysis

Securities Regulation: Cases and Analysis

“COVID-19 Risk Factors and Boilerplate Disclosure”