Sunday, September 7, 2014
New in Print
The following law review articles relating to securities regulation are now available in paper format:
Todd Barnet, The Door Is Still Ajar: Analysis and Shortcomings of the CFTC's Final Rule on Mandated Clearing of Certain Derivatives, 12 DePaul Bus. & Com. L.J. 147 (2014).
Sahil Chaudry, The Impact of the JOBS Act on Independent Film Finance, 12 DePaul Bus. & Com. L.J. 215 (2014).
Jerry Ellig & Hester Peirce, SEC Regulatory Analysis: "A Long Way to Go and a Short Time to Get There", 8 Brook. J. Corp. Fin. & Com. L. 361 (2014).
Peter R. Flynn, Note, Admission of Wrongdoing: Increasing Public Accountability in SEC Settlements, 8 Brook. J. Corp. Fin. & Com. L. 538 (2014).
Kristen J. Kenley, Can We keep this Dirty Money?: Ponzi Scheme Transfers and the Fourth Circuit's Vague But Workable Standard in In re Derivium Capital, LLC., 92 N.C. L. Rev. 1370 (2014).
Alexandros Seretakis, Hedge Fund Activism Coming to Europe: Lessons from the American Experience, 8 Brook. J. Corp. Fin. & Com. L. 438 (2014).
Richard Squire, Clearinghouses as Liquidity Partitioning, 99 Cornell L. Rev. 857 (2014).
Matthew P. Thomas, Comment, MLSMK Investment Co.: Civil RICO Liability after the Private Securities Litigation Reform Act and Central Bank, 12 DePaul Bus. & Com. L.J. 235 (2014).
Ruoke Yang, When is BitCoin a Security under U.S. Securities Law?, 18 J. Tech. L. & Pol'y 99 (2013).
https://lawprofessors.typepad.com/securities/2014/09/ne.html