Thursday, March 8, 2018
New Securities Law Articles in Print
The following law review articles relating to securities regulation are now available in paper format:
Eric C. Chaffee, Securities Regulation in Virtual Space, 74 Wash. & Lee L. Rev. 1387 (2017).
Ronnie Cohen & Gabriele Lingenfelter, Money Isn't Everything: Why Public Benefit Corporations Should Be Required to Disclose Non-Financial Information, 42 Del. J. Corp. L. 115 (2017).
Jill E. Fisch, Standing Voting Instructions: Empowering the Excluded Retail Investor, 102 Minn. L. Rev. 11 (2017).
David F. Freeman Jr., U.S. Financial Regulation of Sovereign Wealth Funds, 52 Wake Forest L. Rev. 781 (2017).
Enrico Ginevra & Chiara Presciani, Sovereign Wealth Fund Transparency and the European Rules on Institutional Investor Disclosure, 52 Wake Forest L. Rev. 815 (2017).
Anita K. Krug, The Other Securities Regulator: A Case Study in Regulatory Damage, 92 Tul. L. Rev. 339 (2017).
John Lightbourne, Note, Algorithms & Fiduciaries: Existing and Proposed Regulatory Approaches to Artificially Intelligent Financial Planners, 67 Duke L.J. 651 (2017).
Kendall R. Pauley, Comment, Why Salman Is a Game-Changer for the Political Intelligence Industry, 67 Am. U. L. Rev. 603 (2017).
Lesesne Phillips, Note, If It Quacks Like a Duck: The Financial Industry Regulatory Authority and Federal Jurisdiction, 74 Wash. & Lee L. Rev. 1695 (2017).
David Rosenfeld, Admissions in SEC Enforcement Cases: The Revolution That Wasn't, 103 Iowa L. Rev. 113 (2017).
What Happens in the Dark: An Exploration of Dark Pools and High Frequency Trading, Articles by Jonathan Macey, David Swensen, Merritt B. Fox, Gabriel Rauterberg, Kevin S. Haeberle & Kristin N. Johnson, 42 J. Corp. L. 777-915 (2017).