Thursday, August 25, 2022
New Securities Law Articles in Print
The following law review articles relating to securities regulation are now available in paper format:
John P. Anderson, Jeremy Kidd & George A. Mocsary, Social Media, Securities Markets, and the Phenomenon of Expressive Trading, 25 Lewis & Clark L. Rev. 1223 (2022).
Steven A. Bank & Brian R. Cheffins, Corporate Law's Critical Junctures, 77 Bus. Law. 1 (2022).
Brian H. Benjet & Jamie Kurtz, The Evolution of DOJ and SEC Expectations for Corporate Compliance Programs and Staying ahead of the Curve, 66 Vill. L. Rev. 939 (2021).
Edwin Adlam Herod, Comment, Cognitive Dissonance Undercuts Deterrence in the C-Suite: Why Otherwise Ethical FDA-Dependent Managers Keep Falling down the Rabbit Hole of 10(b) Class Action Litigation, 52 Seton Hall L. Rev. 607 (2021).
Michael P. Jamroz, What Lawyers Need to Know about Broker-Dealer Audit Requirements, 77 Bus. Law. 91 (2022).
Michael Klausner, Michael Ohlrogge & Emily Ruan, A Sober Look at SPACs, 39 Yale J. on Regul. 228 (2022).
Jenna Koleson, Note, The Duty to Correct Another's Material Misrepresentations: A Contextual Approach for Analyzing Fraudulent Behavior under Rule 10B-5, 66 St. Louis U. L.J. 167 (2021).
Merritt B. Fox & Menesh S. Patel, Common Ownership: Do Managers Really Compete Less?, 39 Yale J. on Regul. 136 (2022).
Reid B. Stevens & Jeffery Y. Zhang, The Costs of Banks Engaging in Non-Banking Activities: A Case Study, 39 Yale J. on Regul. 375 (2022).
Sarah J. Williams, The Alchemy of Effective Auditor Regulation, 25 Lewis & Clark L. Rev. 1089 (2022).