Friday, January 23, 2015
New in Print
The following law review articles relating to securities regulation are now available in paper format:
David K. Brown & Derek B. Swanson, Securities Regulation, 65 Mercer L. Rev. 1087 (2014).
Winthrop N. Brown, With This ring, I Thee Fence: How Europe's Ringfencing Proposal Compares with U.S. Ringfencing Measures, 45 Geo. J. Int'l L. 1029 (2014).
Stanislav Dolgopolov, The Maker-Taker Pricing Model and Its Impact on the Securities Market Structure: A Can of Worms for Securities Fraud?, 8 Va. L. & Bus. Rev. 231 2 (2014).
William O. Fisher, Predicting a Heart Attack: The Fundamental Opacity of Extreme Liquidity Risk, 86 Temp. L. Rev. 465 (2014).
Jaclyn Freeman, Note, Limiting SRO Immunity to Mitigate Risky Behavior, 12 J. on Telecomm. & High Tech. L. 193 (2014).
Stacy Goto Grant, Note, International Financial Regulation through the G20: The Proprietary Trading Case Study. 45 Geo. J. Int'l L. 1217 (2014).
Michael L. Hartzmark &H. Nejat Seyhun, Understanding the Efficiency of the Market for Preferred Stock, 8 Va. L. & Bus. Rev. 149 (2014).
Stephanie Ryder, Note, How to Prevent Future Flash Crashes and Restore the Ordinary Investors' Confidence in the Financial Market: The Implementation of Circuit Breakers and Speed Limits to Help Enforce the Market Access Rule, 12 J. on Telecomm. & High Tech. L. 265 (2014).
Gregory Scopino, Regulating Fairness: The Dodd-Frank Act's Fair Dealing Requirement for Swap Dealers and Major Swap Participants, 93 Neb. L. Rev. 31 (2014).
Robert D. "Bodie" Stewart, Note, Missing the Mark on Mark-to-Market: The Arguments Against the Camp Plan to Require Mark-to-Market Accounting for Non-Traded Speculative Derivatives, 45 Geo. J. Int'l L. 1323 (2014).
Andrew F. Tuch, Financial Conglomerates and Information Barriers, 39 J. Corp. L. 563 (2014).
https://lawprofessors.typepad.com/securities/2015/01/new-in-print.html