“Just Say No? Shareholder Voting on Securities Class Actions”
- Corporate and Securities Law
University of Chicago Business Law Review
2022
“The Future of Securities Law in the Supreme Court”
- Corporate and Securities Law
Columbia Business Law Review
2021
“Should I Stay or Should I Go? The Gender Gap for Securities and Exchange Commission Attorneys”
- Corporate and Securities Law
Journal of Law and Economics
2019
“Insider Trading Law and the Ambiguous Quest for Edge”
- Corporate and Securities Law
Michigan Law Review
2018
Research Handbook on Corporate Crime and Financial Misdealing
2018
“Corporate Governance, Capital Markets, and Securities Law”
- Corporate and Securities Law
The Oxford Handbook of Corporate Law and Governance
2018
“Texas Gulf Sulphur and the Genesis of Corporate Liability Under Rule 10b-5”
- Corporate and Securities Law
Southern Methodist University Law Review
2018
“Securities Law in the Sixties: The Supreme Court, the Second Circuit, and the Triumph of Purpose Over Text”
- Corporate and Securities Law
Notre Dame Law Review
2018
“Piling On? An Empirical Study of Parallel Derivative Suits”
- Corporate and Securities Law
Journal of Empirical Legal Studies
2017
Journal of Banking and Finance
2017
“Carrot or Stick? The Shift from Voluntary to Mandatory Disclosure of Risk Factors”
- Corporate and Securities Law
Journal of Empirical Legal Studies
2016
“The SEC, Administrative Usurpation, and Insider Trading”
- Corporate and Securities Law
Stanford Law Review Online
2016
“SEC Investigations and Securities Class Actions: An Empirical Comparison”
- Corporate and Securities Law
Journal of Empirical Legal Studies
2016
Duke Journal of Constitutional Law and Public Policy
2015
Southern Methodist University Law Review
2015
“The Influence of Arbitrator Background and Representation on Arbitration Outcomes”
- Corporate and Securities Law
Virginia Law & Business Review
2014
Regulation
2014
“Frequent Filers: The Problems of Shareholder Lawsuits and the Path to Reform”
- Corporate and Securities Law
U.S. Chamber Institute for Legal Reform
2014
“Revisiting ‘Truth in Securities’ Revisited: Abolishing IPOs and Harnessing Private Markets in the Public Good”
- Corporate and Securities Law
Seattle University Law Review
2013
“Scandal Enforcement at the SEC: The Arc of the Option Backdating Investigations”
- Corporate and Securities Law
American Law and Economics Review
2013
“Launching the Insider Trading Revolution: SEC v. Capital Gains Research Bureau”
- Corporate and Securities Law
Research Handbook on Insider Trading
2013
Korean Business Law
2012
Regulation
2012
“The Supreme Court’s Impact on Securities Class Actions: An Empirical Assessment of Tellabs”
- Corporate and Securities Law
Journal of Law, Economics and Organization
2011
“Securities Law in the Roberts Court: Agenda or Indifference?”
- Corporate and Securities Law
Journal of Corporation Law
2011
“Populist Retribution and International Competition in Financial Services Regulation”
- Corporate and Securities Law
Creighton Law Review
2010
Journal of Legal Studies
2010
“The Screening Effect of the Private Securities Litigation Reform Act”
- Corporate and Securities Law
Journal of Empirical Legal Studies
2009
University of Cincinnati Law Review
2009
Virginia Law Review
2009
Regulation
2009
“Monitoring of Corporate Groups by Independent Directors”
- Corporate and Securities Law
Journal of Korean Law
2009
“Securities and Exchange Commission v. Ralston Purina, 346 U.S. 119 (1953)”
- Corporate and Securities Law
Encyclopedia of the Supreme Court of the United States
2008
Securities Regulation: The Essentials
- Corporate and Securities Law
2008
Securities Regulation: Cases and Analysis
- Corporate and Securities Law
2008
“Definition of a Security”
- Corporate and Securities Law
Encyclopedia of the Supreme Court of the United States
2008
“Ernst & Ernst v. Hochfelder, 425 U.S. 185 (1976)”
- Corporate and Securities Law
Encyclopedia of the Supreme Court of the United States
2008
“Stoneridge Investment Partners v. Scientific-Atlanta: The Political Economy of Securities Class Action Reform”
- Corporate and Securities Law
Cato Supreme Court Review
2008
“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
Lewis and Clark Law Review
2006
The Regulation of Public Auditing in Canada and the United States: Self-Regulation or Government Regulation?
- Corporate and Securities Law
2006
Canada Steps Up
2006
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
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
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