Monday, September 15, 2014
New in Print
The following law review articles relating to securities regulation are now available in paper format:
Naseem Faqihi, Note, Choosing Which Rule to Break First: An In-House Attorney Whistleblower's Choices after Discovering a Possible Federal Securities Law Violation, 82 Fordham L. Rev. 3341 (2014).
Matthew F. Ferraro, Student Article, "Groundbreaking" or Broken? An Analysis of SEC Cybersecurity Disclosure Guidance, Its Effectiveness, and Implications, 77 Alb. L. Rev. 297 (2013-2014).
Adam J. Levitin, The Politics of Financial Regulation and the Regulation of Financial Politics: A Review Essay, 127 Harv. L. Rev. 1991 (2014).
Leo Mensah, Note, Missed Ppportunity: Excluding Carbon Emissions Markets from Comprehensive Oversight, 38 Wm. & Mary Envtl. L. & Pol'y Rev. 795 (2014).
Matthew W. Muma, Note, Toward Greater Guidance: Reforming the Definitions of the Foreign Corrupt Practices Act, 112 Mich. L. Rev. 1337 (2014).
Thomas L. Short, Note, Friend This: Why Those Damaged During the Facebook IPO Will Recover (Almost) Nothing from NASDAQ, 71 Wash. & Lee L. Rev. 1519 (2014).
Scott Squires, Note, Going Long on Shorts, 68 U. Miami L. Rev. 821 (2014).
Bryan Vega, Note, A Bite from the Poisonous Apple: How the Supreme Court Missed a Chance to Settle the Existing Tension Between the PSLRA and Rule 15(a), 68 U. Miami L. Rev. 793 (2014).