Tuesday, January 27, 2015
New in Print
The following law review articles relating to securities regulation are now available in paper format:
Zachary Ahonen, Note, The Recent Financial Crisis and Its Impact on Interest Rate Swaps: A Road to Recovery through the Frustration of Commercial Purpose Doctrine, 24 Ind. Int'l & Comp. L. Rev. (2014).
Corey K. Brady, Comment, Standing on Ceremony: Can Lead Plaintiffs Claim Injury from Securities that They Did Not Purchase?, 81 U. Chi. L. Rev. 1079 (2014).
John C. Coffee, Jr., Extraterritorial Financial Regulation: Why E.T. Can't Come Home, 99 Cornell L. Rev. 1259 (2014).
Elisabeth de Fontenay, Do the Securities Laws Matter? The Rise of the Leveraged Loan Market, 39 J. Corp. L. 725 (2014).
Michael P. Forrest & J.T. Norris, Bribery and China Go Together Like Yin and Yang, 44 Cumb. L. Rev. 423 (2013-2014).
Cary Martin, One Step Forward for Hedge Fund Investors: The Removal of the Solicitation Ban and the Challenges that Lie Ahead, 16 U. Pa. J. Bus. L. 1143 (2014).
Felix Mormann, Beyond Tax Credits: Smarter Tax Policy for a Cleaner, More Democratic Energy Future, 31 Yale J. on Reg. 303 (2014).
Matthew R. Quetsch, Note, Corporations and Hedging: Distinguishing Forwards from Swaps under the Commodity Exchange Act Post-Dodd Frank, 39 J. Corp. L. 895 (2014).
Houman B. Shadab, Performance-Sensitive Debt: From Asset-Based Loans to Startup Financing, 16 U. Pa. J. Bus. L. 1077 (2014).
Christine E. Turner, Note, First Rejection, Then Dismissal: Reconsidering American Pipe Tolling for Securities Class Actions, 64 Duke L.J. 99 (2014).