Tuesday, March 11, 2014
The following law review articles relating to securities regulation are now available in paper format:
James M. Alexander, Case Comment, Securities Law--Second Circuit Accepts Rule 10b-5 Pleading of Economic Loss after Share-Price Recovery, 46 Suffolk U.L. Rev. 1249 (2013).
Barbara Black, Curbing Broker-Dealers' Abusive Sales Practices: Does Professor Jensen's Integrity Framework Offer a Better Approach?, 48 Wake Forest L. Rev. 771 (2013).
Selby P. Brown, Comment, Don't Throw the Baby Out with the Bath Water: The Merits of the Intermediate Approach to the Securities Litigation Uniform Standards Act, 66 Okla. L. Rev. 363 (2014).
George Lee, Jr. Flint, Securities Regulation, 66 SMU L. Rev. 1129 (2013).
Wulf A. Kaal, Dynamic Regulation of the Financial Services Industry, 48 Wake Forest L. Rev. 791 (2013).
Thomas Kayes, Note, Jury Certification of Federal Securities Fraud Class Actions, 107 Nw. U. L. Rev. 1851 (2013).
Alexander Muravyev, 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 (2013).
Kenneth M. Rosen, Financial Intermediaries as Principals and Agents, 48 Wake Forest L. Rev. 625 (2013).