Thursday, April 30, 2015
The following law review articles relating to securities regulation are now available in paper format:
Michael T. Cappucci, Prudential Regulation and the Knowledge Problem, 9 Va. L. & Bus. Rev. 1 (2014).
Stephen J. Choi, Jill E. Fisch & A.C. Pritchard, The Influence of Arbitrator Background and Representation on Arbitration Outcomes, 9 Va. L. & Bus. Rev. 43 (2014).
J. Scott Colesanti, Trotting Out the White Horse: How the S.E.C. Can Handle Bitcoin's Threat to American Investors, 65 Syracuse L. Rev. 1 (2014).
John C. Coates, Cost-Benefit Analysis of Financial Regulation: Case Studies and Implications, 124 Yale L.J. 882 (2015).
Daniel J. Grimm, Traversing the Minefield: Joint Ventures and the Foreign Corrupt Practices Act, 9 Va. L. & Bus. Rev. 91 (2014).
Valerie M. Hughes, The Two Hundred Million Dollar Question: Were Letters of Credit as Good as Cash in the MF Global Liquidation?, 93 N.C. L. Rev. 276 (2014).
James J. Park, Bondholders and Securities Class Actions, 99 Minn. L. Rev. 585 (2014).
Hester Peirce & Robert Greene, Opening the Gate to Money Market Fund Reform, 34 Pace L. Rev. 1093 (2014).
Roberta Romano, Regulating in the Dark and a Postscript Assessment of the Iron Law of Financial Regulation, 43 Hofstra L. Rev. 25 (2014).
Jason E. Siegel, Note, Admit It! Corporate Admissions of Wrongdoing in SEC Settlements: Evaluating Collateral Estoppel Effects, 103 Geo. L.J. 433 (2015).
David A. Skeel, Jr., Behaviorism in Finance and Securities Law, 21 Sup. Ct. Econ. Rev. 77 (2014).
Yesha Yadav, Insider Trading in Derivatives Markets, 103 Geo. L.J. 381 (2015).