The Forum is the top online resource for discourse on corporate governance, and its posts have been widely cited in over 800 law review articles and regulatory materials. Articles and materials including citations to the Forum include the following:
1 | Christopher McNamara, How the Decisions in Favor of the Stein Thirteen Will Affect the Litigation of Corporate Crime and Department of Justice Policies and Expand the Sixth Amendment Right to Counsel, 78 Fordham L. Rev. 933 (2009) | |
2 | Claire Hill and Brett McDonnell, Executive Compensation and the Optimal Penumbra of Delaware Corporation Law, 4 Va. L. & Bus. Rev. 333 (2009 | (2 citations) |
3 | Elina Khasina, Disclosure of “Beneficial Ownership” of Synthetic Positions in Takeover Campaigns, 2009 Colum. Bus. L. Rev. 904 (2009) | (6 citations) |
4 | Johnny Jaswal and Ed Waitzer, Peoples, BCE, and the Good Corporate “Citizen”, 47 Osgoode Hall L.J. 439 (2009) | |
5 | Joseph W. Yockey, On the Role and Regulation of Private Negotiations in Governance, 61 S.C. L. Rev. 171 (2009) | (2 citations) |
6 | Lauren Colasacco, Where Were the Accountants? Deepening Insolvency as a Means of Ensuring Accountants’ Presence When Corporate Turmoil Materializes, 78 Fordham L. Rev. 793 (2009) | |
7 | Lisa M. Fairfax, Delaware’s New Proxy Access: Much Ado about Nothing?, 11 Transactions: Tenn. J. Bus. L. 87 (2009) | |
8 | Stefan J. Padfield, Finding State Action When Corporations Govern, 82 Temp. L. Rev. 703 (2009) | (2 citations) |
9 | Tyler J. Bexley, Reining in Maverick Traders: Rule 10B5-2 and Confidentiality Agreements, 88 Tex. L. Rev. 195 (2009) | |
10 | A. Keay, Getting to Grips with the Shareholder Value Theory in Corporate Law, CLWR 39 4 (358) (2010) | |
11 | Aaron J. Lyttle and Robert Sprague, Shareholder Primacy and the Business Judgment Rule: Arguments for Expanded Corporate Democracy, 16 Stan. J.L. Bus. & Fin. 1 (2010) | |
12 | Andrew F. Tuch, Multiple Gatekeepers, 96 Va. L. Rev. 1583 (2010) | |
13 | Bradley K. Sabel and Gregg L. Rozanksy, Dodd-Frank: Derivatives as Credit Extensions of Banks, 7 N.Y.U. J.L. & Bus. 175 (2010) | |
14 | Christine Hurt, The Windfall Myth, 8 Geo. J. L. & Pub. Pol’y 339 (2010) | |
15 | Christopher M. Bruner, Power and Purpose in the “Anglo-American” Corporation, 50 Va. J. Int’l L. 579 (2010) | |
16 | Claire A. Hill, Justification Norms Under Uncertainty: A Preliminary Inquiry, 17 Conn. Ins. L.J. 27 (2010) | |
17 | David M. Wilson, Climate Change: The Real Threat to Delaware Corporate Law, Why Delaware Must Keep a Watchful Eye on the Content of Political Change in the Air, 5 Entrepreneurial Bus. L.J. 481 (2010) | |
18 | Dino Falaschetti, Richard Fidei, Dodd-Frank and Board Governance: New Political-Legal Risks to Monetary Policy and Business Judgments?, 29 No. 12 Banking & Fin. Services Pol’y Rep. 1 (2010) | |
19 | George Triantis, The Evolution of Contract Remedies (and Why Do Contracts Professors Teach Remedies First?), 60 U. Toronto L.J. 643 (2010) | |
20 | J. Robert Brown, Jr., Law Faculty Blogs and Disruptive Innovation, 2 J.L: Periodical Laboratory of Leg. Scholarship 525 (2012) | (2 citations) |
21 | J.W. Verret, The Bailout through a Public Choice Lens: Government-Controlled Corporations as a Mechanism for Rent Transfer, 40 Seton Hall L. Rev. 1521 (2010) | |
22 | Jennifer G. Hill, Subverting Shareholder Rights: Lessons from News Corp.’s Migration to Delaware, 63 Vand. L. Rev. 1 (2010) | (2 citations) |
23 | Jeremy Ryan Delman, Structuring Say-On-Pay: A Comparative Look at Global Variations in Shareholder Voting on Executive Compensation, 2010 Colum. Bus. L. Rev. 583 (2010) | (2 citations) |
24 | Jill E. Fisch, Securities Intermediaries and the Separation of Ownership from Control, 33 Seattle U. L. Rev. 877 (2010) | |
25 | John W. Ulhein, Breakdown in the Mortgage Securitization Market: Multiple Causes and Suggestions for Reform, 60 Syracuse L. Rev. 503 (2010) | |
26 | Joseph J. Norton, The “Santiago Principles” and the International Forum of Sovereign Wealth Funds: Evolving Components of the New Bretton Woods II Post-Global Financial Crisis Architecture and Another Example of Ad Hoc Global Administrative Networking and Related “Soft” Rulemaking?, 29 Rev. Banking & Fin. L. 465 (2010) | |
27 | Kenneth R. Davis, Taking Stock–Salary and Options Too: The Looting of Corporate America, 69 Md. L. Rev. 419 (2010) | |
28 | Lucian A. Bebchuk and Scott Hirst, Private Ordering and the Proxy Access Debate, 65 Bus. Law. 329 (2010) | |
29 | Michael J. Kaufman and John M. Wunderlich, Resolving the Continuing Controversy Regarding Confidential Informants in Private Securities Fraud Litigation, 19 Cornell J.L. & Pub. Pol’y 637 (2010) | |
30 | Milosz Gudzowski, Mortgage Credit Ratings and the Financial Crisis: The Need for a State-Run Mortgage Security Credit Rating Agency, 2010 Colum. Bus. L. Rev. 245 (2010) | |
31 | Nicholas D. Harken, 2009 SEC Proxy Amendments: A Problematic Solution to Shareholder Director Nomination, 1 No. 1 U. Puerto Rico Bus. L.J. 65 (2010) | |
32 | Paul Rose, Common Agency and the Public Corporation, 63 Vand. L. Rev. 1355 (2010) | |
33 | Paul Rose, Regulating Risk by “Strengthening Corporate Governance”, 17 Conn. Ins. L.J. 1 (2010) | (3 citations) |
34 | Robert T. Miller, The Board’s Duty to Monitor Risk After Citigroup, 12 U. Pa. J. Bus. L. 1153 (2010) | |
35 | Sabrina Ursaner, Keeping “Fiduciary Outs” Out of Shareholder-Proposed Bylaws: An Analysis of CA, Inc. v. AFSCME, 6 N.Y.U. J.L. & Bus. 479 (2010) | |
36 | Stefan J. Padfield, Immaterial Lies: Condoning Deceit in the Name of Securities Regulation, 61 Case W. Res. 143 (2010) | |
37 | Stephen A. Yoder, Legislative Intervention in Corporate Governance is not a Necessary Response to Citizens United v. Federal Election Commission, 29 J.L. & Com. 1 (2010) | (2 citations) |
38 | Alexander Hellgardt and Wolf-Georg Ringe, The International Dimension of Issuer Liability-Liability and Choice of Law from a Transatlantic Perspective, Oxford J Legal Studies (2011) 31 (1): 23 | |
39 | Andrea Sacco Ginevri, The Rise of Long-Term Minority Shareholders’ Rights in Publicly Held Corporations and Its Effect on Corporate Governance, European Business Organization Law Review (2011) 12: 587-618 | |
40 | Brett R. Marshall, Morrison v. National Australia Bank Ltd.: A Clear Statement Rule or a Confusing Standard, 37 Iowa J. Corp. L. 203 (2011) | |
41 | Claire Cardie, Dan Cosley, Cynthia R. Farina, Paul Miller, Mary J. Newhart, and Rebecca Vernon, Rulemaking in 140 Characters or Less: Social Networking and Public Participation in Rulemaking, 31 Pace L. Rev. 382 (2011) | |
42 | Cosme Caballero, Curbing Corporate Abuse from Jurisprudential Off-Sites: Problematic Paradigms in United States v. Textron Inc., 65 U. Miami L. Rev. 645 (2011) | (2 citations) |
43 | Danielle Angott Higgins, Regulations S-K Item 402(S): Regulating Compensation Incentive-Based Risk through Mandatory Disclosure, 61 Case W. Res. L. Rev. 1049 (2011) | |
44 | David Millon, Two Models of Corporate Social Responsibility, 46 Wake Forest L. Rev. 523 (2011) | |
45 | Elizabeth A. Odian, SEC v. Dorozhko’s Affirmative Misrepresentation Theory of Insider Trading: An Improper Means to a Proper End, 94 Marq. L. Rev. 1313 (2011) | |
46 | Eric J. Pan, Rethinking the Board’s Duty to Monitor: A Critical Assessment of the Delaware Doctrine, 38 Fla. St. U. L. Rev. 209 (2011) | |
47 | James D. Dinnage and Omari Scott Simmons, Innkeepers: A Unifying Theory of the In-House Counsel Role, 41 Seton Hall L. Rev. 77 (2011) | |
48 | James P. Holdcroft, Jr. and Jonathan R. Macey, Failure is an Option: An Ersatz-Antitrust Approach to Financial Regulation, 120 Yale L.J. 1368 (2011) | |
49 | James W. Rathz, The Fix is In: Can the Asymmetric Condition of Regulatory Oversight in the U.S. Capital Markets be Corrected?, 13 Duq. Bus. L.J. 1 (2011) | |
50 | Jennifer G. Hill, Ronald W. Masulis, and Randall S. Thomas, Comparing CEO Employment Contract Provisions: Differences Between Australia and the United States, 64 Vand. L. Rev. 559 (2011) | (2 citations) |
51 | John Ashcroft, Catherine Hanay, and Claudia L. Onate Greim, Whistleblowers Cash in, Unwary Corporations Pay, 40 Hofstra L. Rev. 367 (2011) | (3 citations) |
52 | John H. Knox, The Unpredictable Presumption Against Extraterritoriality, 40 Sw. L. Rev. 635 (2011) | |
53 | John Holman, A Flawed Solution: The Difficulties of Mandating a Leverage Ratio in the United States, 84 S. Cal. L. Rev. 713 (2011) | |
54 | Kara Baquizal, The Extraterritorial Reach of Section 10(B): Revisiting Morrison in Light of Dodd-Frank, 34 Fordham Int’l L.J. 1544 (2011) | |
55 | Katharine V. Jackson, Towards a Stakeholder-Shareholder Theory of Corporate Governance: A Comparative Analysis, 7 Hastings Bus. L.J. 309 (2011) | |
56 | Marcel Kahan and Edward Rock, The Insignificance of Proxy Access, 97 Va. L. Rev. 1347 (2011) | |
57 | Meny Elgadeh, Morrison v. National Australia Bank: Life After Dodd-Frank, 16 Fordham J. Corp. & Fin. L. 573 (2011) | |
58 | Michael P. Murtagh, The Rule 23(B)(3) Superiority Requirement and Transnational Class Actions: Excluding Foreign Class Members in Favor of European Remedies, 34 Hastings Int’l & Comp. L. Rev. 1 (2011) | |
59 | Morris A. Karam, The Chrysler Bankruptcy and the Future of 363(B) Transactions, 11 Hous. Bus. & Tax L. J. 395 (2011) | |
60 | Peta Spender and Michael Tarlowski, Morrison v. National Australia Bank Ltd Adventures on the Barbary Coast: Morrison and Enforcement in a Globalised Securities Market, 35 Melb. U. L. Rev. 280 (2011) | |
61 | Robert E. Mensel, Nothings into Something: Intrinsic Value and Counterfeit Money in Antebellum Law and Culture, 37 Ohio N.U. L. Rev. 111 (2011) | |
62 | Sarah Jane Hughes and Roland L. Trope, Contemporary Issues in Cyberlaw: Red Skies in the Morning — Professional Ethics at the Dawn of Cloud Computing, 38 Wm. Mitchell L. Rev. 111 (2011) | |
63 | Timothy A. Cook, Courts as Diplomats: Encouraging an International Patent Enforcement Treaty through Extraterritorial Constructions of the Patent Act, 97 Va. L. Rev. 1181 (2011) | |
64 | Urska Velikonja, Leverage, Sanctions and Deterrence of Accounting Fraud, 44 U.S. Davis L. Rev. 1281 (2011) | |
65 | Vincent M. Chiappini, How American are American Depositary Receipts? ADRs, Rule 10n-5 Suits, and Morrison v. National Australia Bank, 52 B.C. L. Rev. 1795 (2011) | |
66 | Alicia E. Plerhoples, Can an Old Dog Learn New Tricks? Applying Traditional Corporate Law Principles to New Social Enterprise Legislation, 13 Transactions 221 (2012) | |
67 | Alison K. Gary, Creating a Future Economic Crisis: Political Failure and the Loopholes of the Volcker Rule, 90 Or. L. Rev. 1339 (2012) | |
68 | Amy J. Sepinwall, Righting Others’ Wrongs: A Critical Look at Clawbacks in Madoff-Type Ponzi Schemes and Other Frauds, 78 Brooklyn L. Rev. 1 (2012) | |
69 | Andrew F. Tuch, Conflicted Gatekeepers: The Volcker Rule and Goldman Sachs, 7 Va. L. & Bus. Rev. 365 (2012) | (2 citations) |
70 | Andrew R. Nash, In-House but Out in the Cold: A Comparison of the Attorney-Client Privilege in the United States and European Union, 43 St. Mary’s L. J. 453 (2012) | (4 citations) |
71 | Aviv Pichhadze, The Securities and Exchange Commission and the Ownership Narrative, 3 Wm. & Mary Pol’y Rev. 295 (2012) | |
72 | Bonnie White, Reevaluating Galaviz v. Berg: An Analysis of Forum-Selection Provisions in Unilaterally Adopted Corporate Bylaws as Requirements Contracts, 160 U. Pa. L. Rev. PENNumbra 390 (2012) | |
73 | Catherine Moore, The Effect of the Dodd-Frank Act on Arbitration Agreements: A Proposal for Consumer Choice, 12 Pepp. Disp. Resol. L.J. 503 (2012) | |
74 | Christina Karam, Access Denied! The Case for Extending Full First Amendment Protection to Proxy Speech Under Citizens United, 73 Ohio St. L.J. Furthermore 63 (2012) | |
75 | Christine E. J. Schwöbel, Whither the Private in Global Governance, Int. J. Constitutional Law (2012) 10 (4): 1106 | |
76 | Christopher K. Seide, Consumer Financial Protection Post Dodd-Frank: Solutions to Protect Consumers Against Wrongful Foreclosure Practices and Predatory Subprime Auto Lending, 3 No. 2 U. Puerto Rico Bus. L.J. 219 (2012) | |
77 | Colin Talia, Janus Capital Group: How “Making” a Statement Leads to Insulation from Liability, 38 Iowa J. Corp. L. 197 (2012) | |
78 | Edward B. Micheletti and Jenness E. Parker, Multi-Jurisdictional Litigation: Who Caused This Problem, and Can It be Fixed?, 37 Del. J. Corp. L. 1 (2012) | (2 citations) |
79 | Enzo Incandela, Recourse Under § 10(b) on Life Support: The Displacement of Liability and Private Securities Fraud Action after Janus v. First Derivative, 43 Loy. U. Chi. L.J. 935 (2012) | |
80 | Gabriella Wertman, A Counterintuitive Reform: The Inherent Hindrance to Proxy Access in Rule 14A-8’s Pipeline, 2012 Colum. Bus. L. Rev. 1049 (2012) | (2 citations) |
81 | Greg Jones, Mortgage Lending: Confusing in Every Language, 24 Loy. Consumer L. Rev. 661 (2012) | |
82 | Gregory C. Yadley, Regulators’ Responsibility for Small Banks’ Inability to Finance Customers in the Wake of the Financial Meltdown, 7 Entrepren. Bus. L.J. 95 (2012) | |
83 | James A. Barta and Julia Chapman, Foreign Corrupt Practices Act, 49 Am. Crim. L. Rev. 825 (2012) | |
84 | James F. Cotter, Alan R. Palmiter, and Randall S. Thomas, Dodd-Frank’s Say on Pay: Will it Lead to a Greater Role for Shareholders in Corporate Governance?, 97 Cornell L. Rev. 1213 (2012) | (4 citations) |
85 | Jan Bissett and Margi Heinen, Are You Occupied by Dodd-Frank?, 91-FEB Mich. B.J. 50 (2012) | (3 citations) |
86 | Jeff Izant, Mens Rea and the Martin Act: A Weapon of Choice for Securities Fraud Prosecutions?, 2012 Colum. Bus. L. Rev. 913 (2012) | |
87 | Jeffrey N. Gordon, Corporate Governance and Executive Compensation in Financial Firms: The Case for Convertible Equity-Based Pay, 2012 Colum. Bus. L. Rev. 834 (2012) | (2 citations) |
88 | Joshua L. Boehm, Private Securities Fraud Litigation after Morrison v. National Australia Bank: Reconsidering a Reliance-Based Approach to Extraterritoriality, 53 Harv. Int’l L.J. 249 (2012) | |
89 | June Carbone, Once and Future Financial Crises: How the Hellhound of Wall Street Sniffed out Five Forgotten Factors Guaranteed to Produce Fiascos, 80 UMKC L. Rev. 1021 (2012) | |
90 | Justin Fisher-Short, Default Fiduciary Duties in Delaware LLCs: Why the Highly Adaptive LLC Form Calls for a Flexible Default Fiduciary Duty Rule, 13 J. Bus. & Sec. L. 35 (2012) | |
91 | Lisa P. Goldstein, The Janus-Faced Supreme Court: The Decision in Janus Capital Group and Implications of the Court’s Third Look at Secondary Liability for Securities Fraud, 20 Geo. Mason L. Rev. 311 (2012) | |
92 | Matt A. Vega, Beyond Incentives: Making Corporate Whistleblowing Moral in the New Era of Dodd-Frank act “Bounty Hunting”, 45 Conn. L. Rev. 483 (2012) | |
93 | Mike Davitt, Scott Fletcher, and Tom Jackson, Disturbing Trends in M&A Litigation, 59 The Advoc (Texas) 31 (2012) | |
94 | Mirela V. Hristova, The Case for Insider-Trading Criminalization and Sentencing Reform, 13 Transactions 267 (2012) | |
95 | Priya Gupta, Freezeouts in Delaware: An Exploration of the Appropriate Standard of Review, 2012 Colum. Bus. L. Rev. 707 (2012) | |
96 | Rachel A. Benedict, Judicial Review of SEC Rules: Managing the Costs of Cost-Benefit Analysis, 97 Minn. L. Rev. 278 (2012) | |
97 | Scott Bowling, Sylvia Mayer, and Heath P. Tarbert, Better Late than Never? FSB Reports Regulatory Reform is Advancing, but Slowly, 66 Consumer Fin. L.Q. Rep. 367 (2012) | |
98 | Seth Chertok, A Comprehensive Guide to Title IV of the Dodd-Frank Act and the Rules Promulgated Thereunder, 12 U.C. Davis Bus. L.J. 125 (2012) | |
99 | Stephanie Lyn Parker, The Folly of Rule 14A-11: Business Roundtable v. SEC and the Commission’s Next Step, 61 Am. U. L. Rev. 715 (2012) | (4 citations) |
100 | Thomas E. Holber, Full of Hot Air? Evaluating the Airgas Court’s Reservations about Shareholders’ Short-term and Long-Term Interests in Takeovers, 18 Fordham J. Corp. & Fin. L. 123 (2012) | |
101 | Troy S. Brown, Legal Political Moral Hazard: Does the Dodd-Frank Act End Too Big to Fail?, 3 Ala. C.R. & C.L. L. Rev. 1 (2012) | |
102 | Viki Economides, Tianrui Group Co. v. International Trade Commission: The Dubious Status of Extraterritoriality and the Domestic Industry Requirement of Section 337, 61 Am. U. L. Rev. 1235 (2012) | |
103 | William A. Birdthistle, The Supreme Court’s Theory of the Fund, 37 Iowa J. Corp. L. 771 (2012) | |
104 | William Alan Nelson II, Ending the Silence: Shareholder Derivative Suits and Amending the Dodd-Frank Act so “Say on Pay” Votes may be Heard in the Boardroom, 20 U. Miami Bus. L. Rev. 149 (2012) | (3 citations) |
105 | William B. Chandler III, The Delaware Court of Chancery: An Insider’s View of Change and Continuity, 2012 Colum. Bus. L. Rev. 411 (2012) | |
106 | William Savitt, The Genius of the Modern Chancery System, 2012 Colum. Bus. L. Rev. 570 (2012) | |
107 | Wulf A. Kaal and Richard W. Painter, Forum Competition and Choice of Law Competition in Securities Law after Morrison v. National Australia Bank, 97 Minn. L. Rev. 132 (2012) | |
108 | Alexander M. Wolf, Taking Back What’s Theirs: The Recess Appointments Clause, Pro Forma Sessions, and a Political Tug-of-War, 81 Fordham L. Rev. 2055 (2013) | |
109 | Alexandros Seretakis, Taming the Locusts? Embattled Hedge Funds in the E.U., N.Y.U. J.L. & Bus. 115 (2013) | (2 citations) |
110 | Amanda R. Huff, The Volcker Rule: The Prohibitions, Compliance and the Cost on the Small Bank, 41 W. St. U. L. Rev. 81 (2013) | |
111 | Bonie White, If All Investment Banks are Conflicted, Why Blame Barclays? An Examination of Investment Bank Fee Structures and Del Monte Foods, 162 U. Pa. L. Rev. Online 93 (2013) | (3 citations) |
112 | Bruce Kraus and Connor Raso, Rational Boundaries for SEC Cost-Benefit Analysis, 30 Yale J. on Reg. 289 (2013) | |
113 | Christina M. Sautter, Auction Theory and Standstills: Dealing with Friends and Foes in a Sale of Corporate Control, 64 Case W. Res. 521 (2013) | |
114 | Colin Maher, Crisis Not Averted: Lack of Criminal Prosecutions Leave Limited Consequences for Those Responsible for the Financial Crisis, 39 New Eng. J. on Crim. & Civ. Confinement 459 (2013) | |
115 | Cort Malmberg and Alison B. Miller, Foreign Corrupt Practices Act, 50 Am. Crim. L. Rev. 1077 (2013) | |
116 | Dana Brakman Reiser, Theorizing Forms for Social Enterprise, 62 Emory L.J. 681 (2013) | |
117 | Daniel J. Morrissey, M&A Fiduciary Duties: Delaware’s Murky Jurisprudence, 58 Vill. L. Rev. 121 (2013) | |
118 | David He, Beyond Securities Fraud: The Territorial Reach of U.S. Laws after Morrison v. N.A.B., 2013 Colum. Bus. L. Rev. 148 (2013) | |
119 | David Keenan and Sabrina P. Shroff, Taking the Presumption Against Extraterritoriality Seriously in Criminal Cases after Morrison and Kiobel, 45 Loy. U. Chi. L.J. 71 (2013) | |
120 | David Millon, Shareholder Social Responsibility, 36 Seattle U. L. Rev. 911 (2013) | (2 citations) |
121 | Dionysia Katelouzou, Myths and Realities of Hedge Fund Activism: Some Empirical Evidence, 7 Va. L. & Bus. Rev. 459 (2013) | |
122 | Douglas M. Branson, Proposals for Corporate Governance Reform: Six Decades of Ineptitude and Counting, 48 Wake Forest L. Rev. 673 (2013) | |
123 | Edward Greene and Olivia Schmid, Duty-Free Insider Trading?, 2013 Colum. Bus. L. Rev. 369 (2013) | |
124 | Elina M. Lae, Board Independence in Light of the Murdoch News Corporation Scandal, 11 DePaul Bus. & Comm. L.J. 169 (2013) | (2 citations) |
125 | Emeka Duruigbo, Community Equity Participation in African Petroleum Ventures: Path to Economic Growth?, 35 N.C. Cent. L. Rev. 111 (2013) | |
126 | Garrett F. Bishop and Michael A. Coffee, A Tale of Two Commissions: A Compendium of the Cost-Benefit Analysis Requirements Faced by the SEC & CFTC, 32 Rev. Banking & Fin. L. 565 (2013) | |
127 | Grace Sweeney, Patent-Backed Securitization for Innovation and Economic Growth in the Life Sciences: A Proposal for Incremental Securities Law Reform, 11 Can. J. L. & Tech. 283 (2013) | |
128 | Irina Sivachenko, Corporate Victims of “Victimless Crime”: How the FCPA’s Statutory Ambiguity, Coupled with Strict Liability, Hurst Businesses and Discourages Compliance, 54 B.C. L. Rev. 393 (2013) | |
129 | J. Haskell Murray, Defending Patagonia: Mergers and Acquisitions with Benefit Corporations, 9 Hastings Bus. L.J. 485 (2013) | |
130 | Jacques F. Baritot, Increasing Protection for Crowdfunding Investors Under the Jobs Act, 13 U.C. Davis Bus. L.J. 259 (2013) | |
131 | Jeffrey Bingham, Scaling Chinese Walls: Insights from Aftra v. JPMorgan Chase, 4 Wm. & Mary Bus. L. Rev. 767 (2013) | |
132 | John S. Beasley II, Randall S. Thomas, and Susan Watson, Should New Zealand Adopt Say on Pay, 19 NZBLQ 111 (2013) | |
133 | Jonathan D. Guynn, The Political Economy of Financial Rulemaking after Business Roundtable, 99 Va. L. Rev. 641 (2013) | |
134 | Joshua Mitts, A Private Ordering Solution to Blockholder Disclosure, 35 N.C. Cent. L. Rev. 203 (2013) | |
135 | Lawrence A. Hamermesh and Peter I. Tsoflias, An Introduction to the Federalist Society’s Panelist Discussion Titled “Deregulating the Markets: The Jobs Act”, 38 Del. J. Corp. L. 453 (2013) | |
136 | M. Todd Henderson, Self-Regulation for the Mortgage Industry, 2013 U. Chi. Legal F. 229 (2013) | |
137 | Megan W. Shaner, Revisiting Omnicare: What Does Its Status 10 Years Later Tell Us?, 38 Iowa J. Corp. L. 865 (2013) | (3 citations) |
138 | Mike Koehler, A Foreign Corrupt Practices Act Narrative, 22 Mich. St. J. Int’l L. 961 (2013) | |
139 | Mohsen Manesh, Damning Dictum: The Default Duty Debate in Delaware, 39 Iowa J. Corp. L. 35 (2013) | |
140 | Myanna Dellinger, Localizing Climate Change Action, 14 Minn. J.L. Sci. & Tech. 603 (2013) | |
141 | Paul D. Carrington, Protecting the Right of Citizens to Aggregate Small Claims Against Businesses, 46 U. Mich. J.L. Reform 537 (2013) | |
142 | R. Wai Wong, Through the Antitrust Looking Glass: A New Vision of Delaware’s Takeover-Defense Jurisprudence, 99 Va. L. Rev. 169 (2013) | |
143 | Randall S. Thomas, What Should We Do about Multijurisdictional Litigation in M&A Deals?, 66 Vand. L. Rev. 1925 (2013) | |
144 | Renatto Garcia, Re-Engineering Georgia’s Corporate DNA: A Benefit Analysis and Practicality Assessment for Benefit Corporation Legislation in Georgia, 6 J. Marshall L.J. 627 (2013) | |
145 | Richard M. Hynes, Taxing Control, 38 Iowa J. Corp. L. 567 (2013) | |
146 | Robert B. Thompson and Donald C. Langevoort, Redrawing the Public-Private Boundaries in Entrepreneurial Capital Raising, 98 Cornell L. Rev. 1573 (2013) | |
147 | Ronald J. Gilson and Jeffrey N. Gordon, The Agency Costs of Agency Capitalism: Activist Investors and the Revaluation of Governance Rights, 113 Colum. L. Rev. 863 (2013) | (2 citations) |
148 | Seth Chertok, The Rise of the Dodd-Frank Act: How Dodd-Frank Will Likely Impact Private Equity Real Estate, 16 U. Pa. J. Bus. L. 97 (2013) | |
149 | Stephen M. Bainbridge, Reforming Libor: Wheatley versus the Alternatives, 9 N.Y.U. J.L. & Bus. 789 (2013) | |
150 | Thomas G. James, Far from the Maddening Crowd: Does the Jobs Act Provide Meaningful Redress to Small Investors for Securities Fraud in Connection with Crowdfunding Offerings?, 54 B.C. L. Rev. 1767 (2013) | |
151 | Tim Bakken, Dodd-Frank’s Caveat Emptor: New Criminal Liability for Individuals and Corporations, 48 Wake Forest L. Rev. 1173 (2013) | |
152 | Tyce Walters, Regulatory Lies and Section 6(C)(2): The Promise and Pitfalls of the CFTC’s New False Statement Authority, 32 Yale L. & Pol’y Rev. 335 (2013) | |
153 | Adriana Henquen, Supreme Court Considering End to Fraud-on-the-Market Securities Litigation, 33 Rev. Banking & Fin. L. 473 (2014) | |
154 | Alexander Coley, When is a Belief or Opinion False? Indiana State District Council v. Omnicare and the Contested § 11 Pleading Standard, 5 Cal. L. Rev. Circuit 336 (2014) | |
155 | Alexandros Seretakis, Hedge Fund Activism Coming to Europe: Lessons from the American Experience, 8 Brook. J. Corp. Fin. & Com. L. 438 (2014) | (3 citations) |
156 | Alyssa Wanser, The Facebook Status that Spread an SEC Investigation: Regulation Fair Disclosure and the Growth of Social Media, 30 Touro L. Rev. 723 (2014) | |
157 | Amanda Carrigan, Australian Corporate CEOs are Less Powerful than They Once Were, 2014 AJCL LEXIS 2 (2014) | |
158 | Amy McIntire, Dodd-Frank’s Risk Retention Requirement: The Incentive Problem, 33 No. 5 Banking & Fin. Services Pol’y Rep. 5 (2014) | |
159 | Andre Douglas Pond Cummings, Steven A. Ramirez, and Cheryl L. Wade, Toward a Critical Corporate Law Pedagogy and Scholarship, 92 Wash. U. L. Rev. 397 (2014) | |
160 | Anne M. Tucker, The Short Road Home to Delaware: Boilermakers Local 154 Retirement Fund v. Chevron, 7 J. Bus. Entrepreneurship & L. 467 (2014) | |
161 | Anthony J. Casey, Auction Design for Claims Trading, 22 Am. Bankr. Inst. L. Rev. 133 (2014) | |
162 | Bernice Grant, Independent Yet Captured: Compensation Committee Independence after Dodd-Frank, 65 Hastings L.J. 761 (2014) | (2 citations) |
163 | Bryce C. Tingle, Bad Company! The Assumptions behind Proxy Advisors’ Voting Recommendations, 37 Dalhousie L.J. 709 (2014) | |
164 | Daniel J. Grimm, Traversing the Minefield: Joint Ventures and the Foreign Corrupt Practices Act, 9 Va. L. & Bus. Rev. 91 (2014) | |
165 | David A. Hyman and William E. Kovacic, Why Who Does What Matters: Governmental Design and Agency Performance, 82 Geo. Wash. L. Rev. 1446 (2014) | |
166 | George W. Dent, Jr., A Defense of Proxy Advisors, 2014 Mich. St. L. Rev. 1287 (2014) | (2 citations) |
167 | Gwynne L. Skinner, Beyond Kiobel: Providing Access to Judicial Remedies for Violations of International Human Rights Norms by Transnational Business in a New (Post-Kiobel) World, 46 Colum. Hum. Rts. L. Rev. 158 (2014) | |
168 | Joseph K. Leahy, Are Corporate Super PAC Contributions Waste or Self-Dealing? A Closer Look, 79 Mo. L. Rev. 283 (2014) | |
169 | Joseph W. Yockey, Does Social Enterprise Law Matter?, 66 Ala. L. Rev. 767 (2014) | |
170 | Marcel Kahan and Edward Rock, Symbolic Corporate Governance Politics, 94 B.U. L. Rev. 1997 (2014) | |
171 | Marietta Jo and Sarah L. Reid, Foreign Investors and Foreign Banks Can Breathe a Little Easier as the Madoff Trustee’s Efforts to Claw Back Foreign Transfers are Rebuffed | |
172 | Megan Wischmeier Shaner, How “Bad Law, Bad Economics and Bad Policy” Positively Shaped Corporate Behavior, 47 Akron L. Rev. 753 (2014) | (2 citations) |
173 | Michael A. Losco, Streamlining the Corruption Defense: A Proposed Framework for FCPA-ICSID Interaction, 63 Duke L.J. 1201 (2014) | |
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181 | S. Ari Mushnell, The Orderly Liquidation Authority: Friend or Foe?, 131 Banking L.J. 3 (2014) | |
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185 | Stacy Goto Grant, International Financial Regulation through the G20: The Proprietary Trading Case Study, 45 Geo. J. Int’l L. 1217 (2014) | |
186 | Stephanna F. Szotkowski, Oh the Place Stockholders Will Go! A Guide for Navigating Forum Selection Bylaws Outside of Delaware, 98 Minn. L. Rev. 1980 (2014) | |
187 | Stephen Kim Park, Targeted Social Transparency as Global Corporate Strategy, 35 NW. J. Int’l L. & Bus. 87 (2014) | |
188 | Stephen M. Bainbridge, Director Versus Shareholder Primacy: New Zealand and USA Compared, 2014 NZ Law Review 551 (2014) | |
189 | Stephen O’Connor, The Securities Act of 1933: A Jurisdictional Puzzle, 79 Brook. L. Rev. 1233 (2014) | |
190 | Steven J. Brams and Joshua R. Mitts, Mechanism Design in M&A Auctions, 38 Del. J. Corp. L. 873 (2014) | |
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194 | Violeta Solonova Foreman, Non-Binding Preliminary Agreements: The Duty to Negotiate in Good Faith and the Award of Expectation Damages, 72 U.T. Fac. L. Rev. 12 (2014) | |
195 | Adam Prestidge, Activist Compensation of Board Nominees and the Middle Ground Response, 11 Hastings Bus. L.J. 307 (2015) | (7 citations) |
196 | Adam R. Foresman, Once More Unto the [Corporate Data] Breach, Dear Friends, 41 Iowa J. Corp. L. 343 (2015) | |
197 | Alessio M. Pacces and Alessandro Romano, A Strict Liability Regime for Rating Agencies, 52 Am. Bus. L.J. 673 (2015) | |
198 | Alicia J. Davis, The Institutional Appetite for “Quack Corporate Governance”, 2015 Colum. Bus. L. Rev. 1 (2015) | (2 citations) |
199 | Andrew Walker, Why Shouldn’t We Protect Internal Whistleblowers? Exploring Justifications for the Asadi Decision, 90 N.Y.U. L. Rev. 1761 (2015) | (2 citations) |
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203 | Chris Brummer, Disruptive Technology and Securities Regulation, 84 Fordham L. Rev. 977 (2015) | |
204 | Ciara Torres-Spelliscy, Corporate Democracy from Say on Pay to Say on Politics, 30 Const. Commentary 431 (2015) | (4 citations) |
205 | Claudia H. Allen, Bylaws Mandating Arbitration of Stockholder Disputes?, 39 Del. J. Corp. L. 751 (2015) | (2 citations) |
206 | Dale A. Oesterle, Intermediaries in Internet Offerings: The Future is Here, 50 Wake Forest L. Rev. 533 (2015) | (2 citations) |
207 | David Min, Understanding the Failures of Market Discipline, 92 Wash. U. L. Rev. 1421 (2015) | |
208 | David William Roberts, Agreement in Principle: A Compromise for Activist Shareholders from the UK Stewardship Code, 48 Vand. J. Transnat’l L. 543 (2015) | (3 citations) |
209 | Donna I. Dennis, Contrivance and Collusion: The Corporate Origins of Shareholder Derivative Litigation in the United States, 67 Rutgers U. L. Rev. 1479 (2015) | |
210 | Edgardo Rotman, Extraterritorial Criminal Enforcement of Securities Fraud Regulations After United States v. Vilar, 70 U. Miami L. Rev. 53 (2015) | |
211 | Edward Greene and Caroline Odorski, SEC Enforcement in the Financial Sector: Addressing Post-Crisis Criticism, 16 No. 1 Bus. L. Int’l 5 (2015) | |
212 | Eleanor J. Vincent, The Implications of Oregon’s TriQuint Decision for Enforcing Forum Selection Bylaws, 94 Or. L. Rev. 223 (2015) | (11 citations) |
213 | Elizabeth E. Joh and Thomas W. Joo, The Corporation as Snitch: The New DOJ Guidelines on Prosecuting White Collar Crime, 101 Va. L. rev. Online 51 (2015) | |
214 | Elizabeth Pollman, Team Production Theory and Private Company Boards, 38 Seattle U. L. Rev. 619 (2015) | |
215 | Emily S. May, Bank Directors Beware: Post-Crisis Bank Director Liability, 19 N.C. Banking Inst. 31 (2015) | (2 citations) |
216 | Ferrell, Allen and Andrew Roper, Price Impact, Materiality, and Halliburton II, 93 Wash. U. L. Rev. 553 (2015) | |
217 | Frank Pasquale, Law’s Acceleration of Finance: Redefining the Problem of High-Frequency Trading, 36 Cardozo L. Rev. 2085 (2015) | |
218 | Giulio Allevato and Carlo Garbarino, The Global Architecture of Financial Regulatory Taxes, 36 Mich. J. Int’l L. 603 (2015) | |
219 | Gregory DiCiancia, Limiting Frivolous Shareholder Lawsuits via Fee-Shifting Bylaws: A Call for Delaware to Overturn and Revise its Fee-Shifting Bylaw Statute, 56 B.C. L. Rev. 1537 (2015) | |
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221 | Hayden C. Holliman, The Consolidated Audit Trail: An Overreaction to the Danger of Flash Crashes from High Frequency Trading, 19 N.C. Banking Inst. 135 (2015) | |
222 | Hunter Dekoninck, Breaking the Curse: A Multilayered Regulatory Approach, 22 Ind. J. Global Leg. Stud. 121 (2015) | |
223 | J.S. Nelson, The Intracorporate Conspiracy Trap, 36 Cardozo L. Rev. 969 (2015) | |
224 | Jacquelyn E. Ryberg, Note: The Train has Left the Station, Folks: The Inevitability of Widespread Adoption of Voluntary Political Spending and Lobbying Disclosure, 10 Va. L. & Bus. Rev. 1 (2015) | |
225 | Jason E. Siegel, Admit It! Corporate Admissions of Wrongdoing in SEC Settlements: Evaluating Collateral Estoppel Effects, 103 Geo. L.J. 433 (2015) | (3 citations) |
226 | Jennifer McLellan, An Appraisal of Appraisal Rights in Delaware, 92 Dnv. U. L. Rev. Online 109 (2015) | |
227 | Joel Slawotsky, Hedge Fund Activism in an Age of Global Collaboration and Financial Innovation: The Need for a Regulatory Update of United States Disclosure Rules, 35 Rev. Banking & Fin. L. 272 (2015) | (7 citations) |
228 | John C. Coates IV, Securities Litigation in the Roberts Court: An Early Assessment, 57 Ariz. L. Rev. 1 (2015) | |
229 | John H. Farrar, The Duties of Controlling Shareholders-Complex Relationships, Legal Confusion and New Approaches, 2015 AJCL LEXIS 7 | |
230 | Joseph W. Yockey, Using Form to Counter Corruption: The Promise of the Public Benefit Corporation, 49 U.C. Davis L. Rev. 623 (2015) | |
231 | Kabir Ahmed and Dezso Farkas, A Proposal to Encourage Up-the-Ladder Reporting by Insulating In-House Corporate Attorney’s From Managerial Power, 39 Del. J. Corp. L. 861 (2015) | |
232 | Kennan Khatib, The Harms of the Benefit Corporation, 65 Am. U. L. Rev. 151 (2015) | |
233 | Kobi Kastiel, Executive Compensation in Controlled Companies, 90 Ind. L.J. 1131 (2015) | (5 citations) |
234 | Larry Catá Backer, Moving Forward the UN Guiding Principles for Business and Human Rights: Between Enterprise Social Norm, State Domestic Legal Orders, and the Treaty Law that Might Bind Them All, 38 Fordham Int’l L.J. 457 (2015) | |
235 | Laura A. Farley, Knowledge is Power: How Implementing Affirmative Disclosures Under the Jobs Act Could Promote and Protect Benefit Corporations and Their Investors, 99 Minn. L. Rev. 1507 (2015) | |
236 | Leo E. Strine, Jr. and Nicholas Walter, Conservative Collision Course?: The Tension Between Conservative Corporate Law Theory and Citizens United, 100 Cornell L. Rev. 335 (2015) | |
237 | Luca Enriques and Dirk Zetzsche, Quack Corporate Governance, Round III? Bank Board Regulation Under the New European Capital Requirement Directive, 16 Theoretical Inq. L. 211 (2015) | |
238 | Margaret M. Blair, Boards of Directors as Mediating Hierarchs, 38 Seattle U. L. Rev. 297 (2015) | |
239 | Mark Mermelstein, The Cybersecurity Playbook: Building Effective Attack and Breach Preparedness, 2015 WL 5565351 (2015) | |
240 | Matthew C. Turk, The Convergence of Insurance with Banking and Securities Industries, and the Limits of Regulatory Arbitrage in Finance, 2015 Colum. Bus. L. Rev. 967 (2015) | |
241 | McKenzie Holden Granum, With the Emergence of Public Benefit Corporations, Directors of Traditional For-Profit Companies Should Tread Cautiously, but Welcome the Opportunity to Invest in Social Enterprise, 38 Seattle U. L. Rev. 765 (2015) | |
242 | Michael J. Goldberg, Democracy in the Private Sector: The Rights of Shareholders and Union Members, 17 U. Pa. J. Bus. L. 393 (2015) | |
243 | Michael J. Kaufman and John M. Wunderlich, Paving the Delaware Way: Legislative and Equitable Limits on Bylaws After ATP, 93 Wash. U. L. Rev. 335 (2015) | |
244 | Nizan Geslevich Packin, Supersize Them? Large Banks, Taxpayers and the Subsidies that Lay Between, 35 Nw. Int’l L. Bus. 229 (2015) | (2 citations) |
245 | Pamela K. Bookman, Litigation Isolationism, 67 Stan. L. Rev. 1081 (2015) | |
246 | Po-Ting Peng, Deciding the Applicable Law in Private Antifraud Claims Arising from Cross-Border Security-Based Swaps, 24 Minn. J. Int’l L. 131 (2015) | |
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248 | Robert C. Hockett and Saule T. Omarova, Public Actors in Private Markets: Toward a Developmental Finance State, 93 Wash. U. L. Rev. 103 (2015) | |
249 | Robert Hockett, The Macroprudential Turn: From Institutional ‘Safety and Soundness’ to Systematic ‘Financial Stability’ in Financial Supervision, 9 Va. L. & Bus. Rev. 201 (2015) | |
250 | Ronald J. Gilson and Alan Schwartz, Corporate Control and Credible Commitment, 43 Int’l Rev. L. & Econ. 119 (2015) | |
251 | Sandeep Gopalan and Katherine Watson, An Agency Theoretical Approach to Corporate Board Diversity, 52 San Diego L. Rev. 1 (2015) | |
252 | Sandeep Gopalan and Katrina Hogan, Ethical Transnational Corporate Activity at Home and Abroad: A Proposal for Reforming Continuous Disclosure Obligations in Australia and the United States, 46 Colum. Hum. Rts. L. Rev. 1 (2015) | |
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254 | Seth C. Oranburg, A Little Birdie Said: How Twitter is Disrupting Shareholder Activism, 20 Fordham J. Corp. & Fin. L. 695 (2015) | |
255 | Seth C. Oranburg, Bridgefunding: Crowdfunding and the Market for Entrepreneurial Finance, 25 Cornell J.L. & Pub. Pol’y 397 (2015) | |
256 | Sharon E. Foster, Too Big to Prosecute: Collateral Consequences, Systemic Institutions and the Rule of Law, 34 Rev. Banking & Fin. L. 655 (2015) | |
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259 | Simone M. Sepe and Charles K. Whitehead, Rethinking Chutes: Incentives, Investment, and Innovation, 95 B.U.L. Rev. 2027 (2015) | |
260 | Stefan J. Padfield, Corporate Social Responsibility & Concession Theory, 6 Wm. & Mary Bus. L. Rev. 1 (2015) | |
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262 | Susan B. Heyman, Rethinking Regulation, Fair Disclosure, and Corporate Free Speech, 36 Cardozo L. Rev. 1099 (2015) | |
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264 | Therese Strand, Short-Termism in the European Union, 22 Colum. J. Eur. L. 15 (2015) | |
265 | Thomas Clarke, The Long Road to Reformulating the Understanding of Directors’ Duties: Legalizing Team Production Theory?, 38 Seattle U. L. Rev. 433 (2015) | |
266 | Urska Velikonja, Public Compensation for Private Harm: Evidence from the SEC’s Fair Fund Distributions, 67 Stan. L. Rev. 331 (2015) | (2 citations) |
267 | Urska Velikonja, Team Production and Securities Laws, 38 Seattle U. L. Rev. 725 (2015) | |
268 | Urska Velikonja, Waiving Disqualification: When Do Securities Violators Receive a Reprieve?, 103 Calif. L. Rev. 1081 (2015) | |
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283 | David G. Yosifon, Is Corporate Patriotism a Virtue?, 14 Santa Clara J. Int’l L. 265 (2016) | |
284 | David Zaring, Enforcement Discretion at the SEC, 94 Tex. L. Rev. 1155 (2016) | |
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288 | Gaurav Jetley and Xinyu Ji, Appraisal Arbitrage–Is There a Delaware Advantage?, 71 Bus. Law. 427 (2016) | |
289 | Grace Lee Mead, Two New Tools for Addressing Activist Hedge Funds–Sunlight Bylaws and Reciprocal Disclosures, 21 Fordham J. Corp. & Fin. L. 479 (2016) | (7 citations) |
290 | Heita Miki, Live and Let Die: Peeling Back on Municipal Bond Regulation after the 2008 Financial Crisis, 16 Colum. Bus. L. Rev. 252 (2016) | (2 citations) |
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293 | Jacob J. Fedechko, Martinez v. DuPont: A Look at the Future of Forum Non Conveniens in Delaware Commercial Litigation, 40 Del. J. Corp. L. 647 (2016) | |
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296 | Joel Edan Friedlander, How Rural/Metro Exposed the Systemic Problem of Disclosure Settlements, 40 Del. J. Corp. L. 877 (2016) | |
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299 | Joseph W. Yockey, Beyond Yates: From Engagement to Accountability in Corporate Crime, 12 N.Y.U. J.L. & Bus. 407 (2016) | |
300 | Julie Rose O’Sullivan, “Private Justice” and FCPA Enforcement: Should the SEC Whistleblower Program Include a Qui Tam Provision?, 53 Am Crim. L. Rev. 67 (2016) | |
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306 | Lide E. Paterno, Irresponsible Corporate-Responsibility Rules, 77 U. Pitt. L. Rev. 499 (2016) | |
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308 | Maria B. Bock, Shareholder Activism: The 21st Century Poison Pill Replacement, 93 Denv. U. L. Rev. Online 341 (2016) | |
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315 | Mike Koehler, A Common Language to Remedy Distorted Foreign Corrupt Practices Act Enforcement Statistics, 68 Rutgers L. Rev. 553 (2016) | |
316 | Nicholas Tsui, Could a Lack of Strong Patents Spur the Next Global Market Collapse?, 16 Wake Forest J. Bus. & Intell. Prop. L. 182 (2016) | |
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318 | Patricia Beck, What We Talk About When We Talk About Voting: Efficiency and the Error in Empty Voting, 21 Fordham J. Corp. & Fin. L. 211 (2016) | |
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320 | Richard L. Epling and Dina E. Yavich, When Can a Bondholder Insist on Prompt Payment of Principal or Interest: Recent Developments under the Trust Indenture Act, 2016 Ann. Surv. Of Bankr. Law 7 (2016) | |
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322 | Robert C. Bird and Stephen Kim Park, The Domains of Corporate Counsel in an Era of Compliance, 53 Am. Bus. L.J. 203 (2016) | |
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354 | Bryce C. Tingle, Framed! The Failure of Traditional Agency Cost Explanations for Executive Pay Practices, 54 Alberta L. Rev. 899 (2017) | |
355 | Carla L. Reyes, Conceptualizing Cryptolaw, 96 Neb. L. Rev. 384 (2017) | |
356 | Carlton Tarpley, How Shareholders Can Fill an Environmental Regulatory Void, 1/29/2017 Geo. Envtl. L. Rev. Online 1 (2017) | |
357 | Carol Liao, A Critical Canadian Perspective on the Benefit Corporation, 40 Seattle U. L. Rev. 683 (2017) | |
358 | Catherine Gallagher Fauver, XVII. The Long Journey to “Adequate”: Wells Fargo’s Resolution Plan, 36 Rev. Banking & Fin. L. 647 (2017) | |
359 | Cheryl L. Wade, Effective Compliance with Antidiscrimination Law: Corporate Personhood, Purpose and Social Responsibility, 74 Wash & Lee L. Rev. 1187 (2017) | |
360 | Christina Parajon Skinnerm, Regulating Nonbanks: A Plan for SIFI Lite, 105 Geo. L.J. 1379 (2017) | (4 citations) |
361 | Cory Howard, Financial Crimes Compliance Self-Governance: Applying the Faragher Defense to Bank Secrecy Act/Anti-Money Laundering Violations, 48 U. Mem. L. Rev. 45 (2017) | (2 citations) |
362 | Cory Howard, Warding Off Scylla and Charybdis: The Conflicts Financial Institutions Face in the Context of BSA/AML and Fair Lending Responsibilities, 4 Bus. & Bankr. L. J. 207 (2017) | |
363 | Daniel Buchholz, Eliminating Fiduciary Duties in Delaware LLCs: A Process Focused Approach to the Analysis of Waiver Provisions, 16 Fla. St. U. Bus. Rev. 153 (2017) | |
364 | David J. Berger, Steven Davidoff Solomon, and Aaron J. Benjamin, Tenure Voting and the U.S. Public Company, 72 Bus. Law. 295 (2017) | (2 citations) |
365 | David Zaring, The Legal Response to the Next Financial Crisis, 24 Geo. Mason L. Rev. 533 (2017) | |
366 | Deborah R. Farringer, Send Us the Bitcoin or Patients Will Die: Addressing the Risks of Ransomware Attacks on Hospitals, 40 Seattle U. L. Rev. 937 (2017) | |
367 | Desiree M. Baca, Curbing Arbitrage: The Case for Reappraisal of Delaware’s Appraisal Rights, 13 N.Y.U. J.L. & Bus. 425 (2017) | (2 citations) |
368 | Dirk A. Zetzsche, Ross P. Buckley, Janos N. Barberis, and Douglas W. Arner, Regulating a Revolution: From Regulatory Sandboxes to Smart Regulation, 23 Fordham J. Corp. & Fin. L. 31 (2017) | |
369 | Dov Greenbaum, Making Law School a Better Place: Using HBO’s Silicon Valley to Teach Intellectual Property Law and Entrepreneurship, 57 IDEA: J. Franklin Pierce for Intell. Prop. 183 (2017) | |
370 | E. Norman Veasey and Jane M. Simon, The Conundrum of When Delaware Contract Law Will Allow Evidence Outside the Contract’s “Four Corners” in Construing an Unambiguous Contractual Provision, 72 Bus. Law. 893 (2017) | |
371 | Edward L. Pittman, Quantitative Investment Models, Errors, and the Federal Securities Laws, 13 N.Y.U. J.L. & Bus. 633 (2017) | |
372 | Enrico Ginevra and Chiara Presciani, Sovereign Wealth Fund Transparency and the European Rules on Institutional Investor Disclosure, 52 Wake Forest L. Rev. 815 (2017) | |
373 | Enshen Li and Simon Bronitt, Combating Foreign Bribery in China: Rethinking Zero Tolerance with ‘Chinese Characteristics’, Chin J Comp Law (2017) 5(2): 308-344 (2017) | |
374 | Eric A. Posner, Fiona M. Scott Morton, and E. Glen Weyl, A Proposal to Limit the Anticompetitive Power of Institutional Investors, 81 Antitrust L.J. 669 (2017) | |
375 | Erin Fonte, 2017 U.S. Regulatory Overview of Mobile Wallets and Mobile Payments, 17 Wake Forest J. Bus. & Intell. Prop. L. 549 (2017) | |
376 | Franklin A. Gevurtz, Saying Yes: Reviewing Board Decisions to Sell or Merge the Corporation, 44 Fla. St. U. L. Rev. 437 (2017) | (2 citations) |
377 | Frederick Matthew Norchi, Deference Debate and the Role of Cost-Benefit Analysis in Financial Regulation: Metlife v. Financial Stability Oversight Council, 21 N.C. Banking Inst. 253 (2017) | |
378 | Geoffrey Gardner, XII. Expected Changes in SEC Regulatory Policy Under President Trump’s Administration, 36 Rev. Banking & Fin. L. 580 (2017) | |
379 | Gregory H. Shill, The Golden Leash and the Fiduciary Duty of Loyalty, 64 UCLA L. Rev. 1246 (2017) | (5 citations) |
380 | Gregory J. Marsden and George J. Siedel, The Duty to Negotiate in Good Faith: Are BATNA Strategies Legal?, 14 Berkeley Bus. L.J. 127 (2017) | |
381 | Gwendolyn Gordon and David Zaring, Ethical Bankers, 42 J. Corp. L. 559 (2017) | |
382 | Henrik Born, Screening Out the Losers: How Delaware Corporations Can Implement Fee-Shifting to Deter Frivolous Stirke Suits, 14 N.Y.U. J.L. & Bus. 351 (2017) | |
383 | Ike Adams and Robert Keeling, Vicarious Liability Risks Facing the Financial Industry Under the FCPA, 9 Geo. Mason J. Int’l Com. L. 1 (2017) | |
384 | India McGee, Where Do We Go From Here? Prosecutorial Concerns of Chief Compliance Officers, 6 Am. U. Bus. L. Rev. 277 (2017) | |
385 | J. Haskell Murray, Adopting Stakeholder Advisory Boards, 54 Am. Bus. L.J. 61 (2017) | (2 citations) |
386 | J. Haskell Murray, Examining Tennessee’s For-Profit Benefit Corporation Law, 19 Transactions: Tenn. J. Bus. L. 325 (2017) | |
387 | J. Parker Murphy, More Sense than Money: National Charter Option for Fintech Firms is the Right Choice, 18 N.C. J.L. & Tech. On. 359 (2017) | (2 citations) |
388 | J. Robert Brown, Jr., Corporate Governance, Shareholder Proposals, and Engagement between Managers and Owners, 94 Denv. L. Rev. Online 300 (2017) | (2 citations) |
389 | J.S. Nelson, Paper Dragon Thieves, 105 Geo. L.J. 871 (2017) | |
390 | Jay B. Kesten, The Uncertain Case for Appraisal Arbitrage, 52 Wake Forest L. Rev. 89 (2017) | |
391 | Jean Ingersoll Abbott, Marilyn E. Vito, and Carla Cabarle, Implications of the 2012 JOBS Act for Investors, 34 J. Tax’n Inv. 3 (2017) | |
392 | Jennifer M. Paulson, Cyber Insecurity: Constitutional Rights in the Digital Era, 41 S. Ill. U. L.J. 261 (2017) | |
393 | Jennifer Nou, Subdelegating Powers, 117 Colum. L. Rev. 473 (2017) | |
394 | Jessica Erickson, The Gatekeepers of Shareholder Litigation, 70 Okla. L. Rev. 237 (2017) | |
395 | Jessica Wilson, The Devil in the Details: How the Complexity, Costs, and Uncertainty of Treasury Regulations Encourage Corporate Inversion, 69 Hastings L.J. 387 (2017) | |
396 | Jill E. Fisch, Standing Voting Instructions: Empowering the Excluded Retail Investor, 102 Minn. L. Rev. 11 (2017) | (6 citations) |
397 | Joel Edan Friedlander, Vindicating the Duty of Loyalty: Using Data Points of Successful Stockholder Litigation as a Tool for Reform, 72 Bus. Law. 623 (2017) | |
398 | John Crawford, Credible Losers: A Regulatory Design for Prudential Market Discipline, 54 Am. Bus. L.J. 107 (2017) | |
399 | John I. Sanders, Break from Tradition: Questioning the Primacy of Self-Regulation in American Securities Law, 7 Mich. Bus. & Entrepreneurial L. Rev. 93 (2017) | |
400 | John L. Douglas and Reuben Grinberg, Old Wine in New Bottles: Bank Investments in Fintech Companies, 36 Rev. Banking & Fin. L. 667 (2017) | |
401 | John Polise, A Bridge Too Far: A Critical Analysis of the Securities and Exchange Commission’s Approach to Equity Market Regulation, 11 Brook. J. Corp. Fin. & Com. L. 285 (2017) | |
402 | Jordan Stevens, The Merchant Cash Advance Industry May Have a Few Bad Apples, but that Does Not Mean It’s Time to Empty the Barrel, 49 Tex. Tech. L. Rev. 501 (2017) | |
403 | Joseph D. Heinz, Spoofing: Ineffective Regulation Increases Market Inefficiency, 67 DePaul L. Rev. 77 (2017) | |
404 | Joshua C. Macey, Playing Nicely: How Judges Can Improve Dodd-Frank and Foster Interagency Collaboration, 126 Yale L.J. 806 (2017) | |
405 | Julia Potts, The Activist Shareholders’ Migration to Europe: How the United States Can Retain Its Wandering Investors, 66 DePaul L. Rev. 605 (2017) | (4 citations) |
406 | Justin H. Mims, The Wells Fargo Scandal and Efforts to Reform Incentive-Based Compensation in Financial Institutions, 21 N.C. Banking Inst. 429 (2017) | |
407 | K.J. Martijn Cremers, Saura Masconale, and Simone M. Sepe, CEO Pay Redux, 96 Tex. L. Rev. 205 (2017) | |
408 | Karen M. Gebbia, The Keepers of the Code: Evolution of the Bankruptcy Community, 91 Am. Bankr. L.J. 183 (2017) | |
409 | Kirby Smith, The Agency Costs of Equal Treatment Clauses, 127 Yale L.J. Forum 543 (2017) | |
410 | Kobi Kastiel and Yaron Nili, “Captured Boards”: The Rise of “Super Directors” and the Case for a Board Suite, 2017 Wis. L. Rev. 19 (2017) | (12 citations) |
411 | Kristy Wiehe, Oh, Snap! Do Multi-Class Offerings Signal the Decline of Shareholder Democracy and the Normalization of Founder Primacy?, 12 Va. L. & Bus. Rev. 175 (2017) | (2 citations) |
412 | Larry Catá Backer, The Corporate Social Resonsibilities of Financial Institutions for the Conduct of Their Borrowers: The View from International Law and Standards, 21 Lewis & Clark L. Rev. 881 (2017) | |
413 | Larry Catá Backer, The Human Rights Obligations of State-Owned Enterprises: Emerging Conceptual Structures and Principles in National and International Law and Policy, 50 Vand. J. Transnat’l L. 827 (2017) | |
414 | LaTravia Smith, The “Fowl” Practice of Humane Labeling: Proposed Amendments to Federal Standards Governing Chicken Welfare and Poultry Labeling Practices, 18 Sustainable Dev. L. & Pol’y 17 (2017) | |
415 | Laura Palk, Gone but Not Forgotten: Does (or Should) the Use of Self-Destructing Messaging Applications Trigger Corporate Governance Duties?, 7 Harv. Bus. L. Rev. 115 (2017) | (2 citations) |
416 | Lawrence A. Hamermesh and Michael L. Wachter, The Importance of Being Dismissive: The Efficiency Role of Pleading Stage Evaluation of Shareholder Litigation, 42 J. Corp. L. 597 (2017) | |
417 | Leo E. Strine, Jr., Who Bleeds When the Wolves Bite?: A Flesh-and-Blood Perspective on Hedge Fund Activism and Our Strange Corporate Governance System, 1269 Yale L.J. 1870 (2017) | (5 citations) |
418 | Lev Menand, Stilling the Pendulum: Regulatory, Supervisory, and Structural Approaches, 70 Vand. L. Rev. En Banc 273 (2017) | |
419 | Louis Anthony Steiner, The Right Deed for the Wrong Reason: A Critical Examination of Regulation A+ and Its Rationales, 22 Fordham J. Corp. & Fin. L. 155 (2017) | (7 citations) |
420 | Lucian A. Bebchuk and Assaf Hamdani, Independent Directors and Controlling Shareholders, 165 U. Pa. L. Rev. 1271 (2017) | |
421 | Lucian A. Bebchuk and Kobi Kastiel, The Untenable Case for Perpetual Dual-Class Stock, 103 Va. L. Rev. 585 (2017) | (4 citations) |
422 | M. Dalton Downing, Picket Signs versus Pocket Books: Using U.S. Securities Law to Compel Corporate Lobbying Disclosure, 53 Tulsa L. Rev. 85 (2017) | (4 citations) |
423 | Marc I. Steinberg and Forrest C. Roberts, Laxity at the Gates: The SEC’s Neglect to Enforce Control Person Liability, 11 Va. L. & Bus. Rev. 201 (2017) | (3 citations) |
424 | Marcia Narine Weldon, Corporate Governance, Compliance, Social Responsibility, and Enterprise Risk Management in the Trump/Pence Era, 19 Transactions: Tenn. J. Bus. L. 275 (2017) | |
425 | Martin Bengtzen, Private Investor Meetings in Public Firms: The Case for Increasing Transparency, 22 Fordham J. Corp. & Fin. L. 33 (2017) | |
426 | Matthew C. Turk, Regulation by Settlement, 66 U. Kan. L. Rev. 259 (2017) | (2 citations) |
427 | Melika Hadz̆iomerović, An Arbitral Solution: A Private Law Alternative to Bankruptcy for Puerto Rico, Territories, and Sovereign Nations, 85 Geo. Wash. L. Rev. 1263 (2017) | |
428 | Melissa Knerr, Password Please: The Effectiveness of New York’s First-in-Nation Cybersecurity Regulation of Banks, 1 Bus. Entrepreneurship & Tax L. Rev. 539 (2017) | |
429 | Michael Doran, Uncapping Executive Pay, 90 S. Cal. L. Rev. 815 (2017) | |
430 | Michael Morelli, Implementing High Frequency Trading Regulation: A Critical Analysis of Current Reforms, 6 Mich. Bus. & Entrepreneurial L. Rev. 201 (2017) | |
431 | Michael R. Siebecker, Political Insider Trading, 85 Fordham L. Rev. 2717 (2017) | (2 citations) |
432 | Michal Barzuza and Quinn Curtis, Board Interlocks and Outside Directors’ Protection, 46 J. Legal Stud. 129 (2017) | |
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434 | Mira Ganor, Toehold Collaborations Beyond Insider Trading, 14 N.Y.U. J.L. & Bus. 187 (2017) | (9 citations) |
435 | Miriam H. Baer, Insider Trading’s Legality Problem, 127 Yale L.J. Forum 129 (2017) | |
436 | Nithya Narayanan, Activist Nominee Compensation: Balancing the Hedgehog’s Dilemma, 41 Del. J. Corp. L. 345 (2017) | (2 citations) |
437 | Nitzan Shilon, Putting Directors’ Money Where Their Mouths Are: A New Approach to Improving Corporate Takeover Dynamics, 2017 Colum. Bus. L. Rev. 511 (2017) | (6 citations) |
438 | Noah B. Lindell, One Person, No Votes: Unopposed Candidate Statutes and the State of Election Law, 2017 Wis. L. Rev. 885 (2017) | |
439 | Noam Noked, Can Taxes Mitigate Corporate Governance Inefficiencies?, 9 Wm. & Mary Bus. L. Rev. 221 (2017) | |
440 | Omed Sharifi, X. Brexit: Passport Rights & Equivalence, 37 Rev. Banking & Fin. L. 138 (2017) | |
441 | Paul Rose, What Responsibilities Do Sovereign Funds Have to Other Investors?, 52 Wake Forest L. Rev. 889 (2017) | |
442 | Peter H. Huang, Achieving American Retirement Prosperity by Changing Americans’ Thinking About Retirement, 22 Stan. J.L. Bus. & Fin. 189 (2017) | |
443 | Rachel E. Whitman, Creating a New Standard for Judicially-Mandated Predictive Coding, 27 Alb. L.J. Sci. & Tech. 190 (2017) | |
444 | Rachel Orbach, Bringing Talent Off the Bench and into the Game: The Underrepresentation of Women in the Boardroom, 22 Fordham J. Corp. & Fin. L. 2013 (2017) | |
445 | Randall S. Thomas and Patrick C. Tricker, Shareholder Voting in Proxy Contests for Corporate Control, Uncontested Director Elections and Managerment Proposals: A Review of the Empirical Literature, 70 Okla. L. Rev. 9 (2017) | |
446 | Reilly S. Steel, Corporate Political Spending and the Size Effect, 118 Colum. L. Rev. Online 1 (2017) | |
447 | Reilly S. Steel, Proxy Access and Optimal Standardization in Corporate Governance: An Empirical Analysis, 23 Fordham J. Corp. & Fin. L. 173 (2017) | |
448 | Renee M. Jones, The Unicorn Governance Trap, 166 U. PA. L. Rev. Online 165 (2017) | |
449 | Robert C. Hockett and Saule T. Omarova, The Finance Franchise, 102 Cornell L. Rev. 1143 (2017) | |
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451 | Ronnie Cohen and Gabriele Lingenfelter, Money Isn’t Everyting: Why Public Benefit Corporations Should be Required to Disclose Non-Financial Information, 42 Del. J. Corp. L. 115 (2017) | |
452 | Roxanne Thorelli, Providing Clarity for Standard of Conduct for Directors within Benefit Corporations: Requiring Priority of a Specific Public Benefit, 101 Minn. L. Rev. 1749 (2017) | |
453 | Russell Pittman, The Strange Career of Independent Voting Trusts in U.S. Rail Mergers, Jnl of Competition Law & Economics (2017) 13(1): 89-102 (2017) | |
454 | Ryan S. Starstrom, Delaware’s Ban on Fee-Shifting: A Failed Attempt to Protect Shareholders at the Expense of Officers and Directors of Public Corporations, 82 Brook. L. Rev. 1339 (2017) | |
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456 | S.I. Strong, Congress and Commercial Trusts: Dealing with Diversity Jurisdiction Post-Americold, 69 Fla. L. Rev. 1021 (2017) | |
457 | Samantha Osborne, Dodd-Frank Whistleblower Provision: Determining Who Qualifies as a Whistleblower, 41 De. J. Corp. L. 903 (2017) | |
458 | Samantha Silver, XI. Federal Reserve Corporate Governance Proposal and Its Potential Effects, 37 Rev. Banking & Fin. L. 153 (2017) | |
459 | Sarah E. Hsu Wilbur, What Does This Mean? Examining Legislative Ambiguities in the Cybersecurity Act of 2015 and the Potential for a Future Circuit Split on Interpretation, 48 Seton Hall L. Rev. 275 (2017) | |
460 | Scott Andrew Shepard, The Lead Lemming: Illinois on the Pension-Crisis Brink, 14 J.L. Econ. & Pol’y 151 (2017) | |
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463 | Sean Coleman, Foreign Corrupt Practices Act, 54 Am. Crim. L. Rev. 1381 (2017) | |
464 | Simone M. Sepe, Board and Shareholder Power, Revisited, 101 Minn. L. Rev. 1377 (2017) | (2 citations) |
465 | Stefan J. Padfield, The Role of Corporate Personality Theory in Opting Out of Shareholder Wealth Maximization, 19 Transactions: Tenn. J. Bus. L. 415 (2017) | (2 citations) |
466 | Steven A. Bank, When Did Tax Avoidance Become Respectable?, 71 Tax L. Rev. 123 (2017) | |
467 | Steven A. Rosenblum, Hedge Fund Activism, Short-Termism, and a New Paradigm of Corporate Governance, 126 Yale L.J. Forum 538 (2017) | |
468 | Timothy M. Joyce, 1000 Days Late & $1 Million Short: The Rise and Rise of Intrastate Equity Crowdfunding, 18 Minn. J.L. Sci. & Tech. 343 (2017) | |
469 | Tom C.W. Lin, The New Market Manipulation, 66 Emory L.J. 1253 (2017) | |
470 | Travis Miller, The Evolving Regulations and Liabilities Entwined in Corporate Social Responsibility, 46 Tex. Envtl. L.J. 219 (2017) | |
471 | Virginia Harper Ho, “Comply or Explain” and the Future of Nonfinancial Reporting, 21 Lews & Clark L. Rev. 317 (2017) | |
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475 | Yu-Hsin Lin, Controlling Controlling-Minority Shareholders: Corporate Governance and Leveraged Corporate Control, 2017 Colum. Bus. L. Rev. 453 (2017) | |
476 | Yuliya Guseva, Extraterritoriality of Securities Law Redux: Litigation Five Years After Morrison v. National Australia Bank, 2017 Colum. Bus. L. Rev. 199 (2017) | (2 citations) |
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487 | Andrew Keay and Jingchen Zhao, Transforming Corporate Governance in Chinese Corporations: A Journey, Not a Destination, 38 Nw. J. Int’l L. & Bus. 187 (2018) | |
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530 | Giovanni Strampelli, Knocking at the Boardroom Door: A Transatlantic Overview of Director-Institutional Investor Engagement in Law and Practice, 12 Va. L. & Bus. Rev. 187 (2018) | (2 citations) |
531 | Helen Hershkoff and Marcel Kahan, Forum-Selection Provisions in Corporate “Contracts”, 93 Wash. L. Rev. 265 (2018) | |
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533 | Izi Pinho, The Advent of Benefit Corporations in Florida, 47 Stetson L. Rev. 333 (2018) | (2 citations) |
534 | J. Travis Laster and Marcel T. Rosner, Distributed Stock Ledgers and Delaware Law, 73 Bus. Law. 319 (2018) | |
535 | Jacob Gregory Shulman, Regulating Onine Marketplace Lending: To be a Bank or Not to be a Bank?, 44 Rutgers Computer & Tech. L.J. 163 (2018) | |
536 | Jacqueline Dakin, Sarbanes-Oxley and CEO Accountability: Looking for a Corporate Scapegoat in S.E.C. v. Jensen, 63 Vill. L. Rev. Tolle Lege 126 (2018) | (2 citations) |
537 | Jaime Lee, Benefit Corporations: A Proposal for Assessing Liability in Benefit Enforcement Proceedings, 103 Cornell L. Rev. 1075 (2018) | |
538 | James D. Cox and Randall S. Thomas, Delaware’s Retreat: Exploring Developing Fissures and Tectonic Shifts in Delaware Corporate Law, 42 Del. J. Corp. L. 323 (2018) | |
539 | James D. Nelson, The Trouble with Corporate Conscience, 71 Vand. L. Rev. 1655 (2018) | |
540 | Jena Martin, Hiding in the Light: The Misuse of Disclosure to Advance the Business and Human Rights Agenda, 56 Colum. J. Transnat’l L. 530 (2018) | (3 citations) |
541 | Jenna I. McCarthy, Benchmarking the World: A Proposal for Regulatory Oversight of Stock Market Index Providers, 51 Vand. J. Transnat’l L. 1191 (2018) | |
542 | Jennifer G. Hill, Good Activist/Bad Activist: The Rise of International Stewardship Codes, 41 Seattle U. L. Rev. 497 (2018) | (4 citations) |
543 | Jennifer M. Pacella, Silencing Whistleblowers by Contract, 55 Am. Bus. L.J. 261 (2018) | |
544 | Jennifer Mueller, The Paycheck Problem, 20 U. Pa. J. Const. L. 561 (2018) | |
545 | Jeremy C. Kress, Board to Death: How Busy Directors Could Cuase the Next Financial Crisis, 59 B.C. L. Rev. 877 (2018) | (4 citations) |
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548 | Jim Hawley and Jon Lukomnik, The Long and Short of It: Are We Asking the Right Questions? Modern Portfolio Theory and Time Horizons, 41 Seattle U. L. Rev. 449 (2018) | |
549 | John Crawford, Resolution Triggers for Systemically Important Financial Institutions, 97 Neb. L. Rev. 65 (2018) | |
550 | John Hannon, The True Lender Doctrine: Function Over Form as a Reasonable Constraint on the Exportation of Interest Rates, 67 Duke L.J. 1261 (2018) | |
551 | Jonah B. Gelbach and David Marcus, Rethinking Judicial Review of High Volume Agency Adjudication, 96 Tex. L. Rev. 1097 (2018) | |
552 | Jonathan Bair, Steven M. Bellovin, Andrew Manley, Blake Reid, and Adam Shostack, That was Close! Reward Reporting of Cybersecurity “Near Misses”, 16 Colo. Tech. L.J. 327 (2018) | |
553 | Jonathan D. Glater, Insiders, Outsiders, & Fair Access: Identifying Culpable Insider Trading, 83 Brook. L. Rev. 1393 (2018) | |
554 | Jonathan S. Masur and Eric A. Posner, Cost-Benefit Analysis and the Judicial Role, 85 U. Chi. L. Rev. 935 (2018) | |
555 | Joseph D. Moran, The Impact of Regulatory Measures Imposed on Initial Coin Offerings in the United States Market Economy, 26 Cath. U. J. L. & Tech. 213 (2018) | |
556 | Joseph P. DiCarlo, Revving-Up Revlon in the Wake of Rural Metro: A Call for Direct Liability on Financial Advisors, 48 Seton Hall L. Rev. 871 (2018) | |
557 | Josh Henniger, Wearable Technology and Employer Wellness Programs: Gaps and Solutions, 12 Ohio St. Bus. L.J. 197 (2018) | |
558 | K.J. Martijn Cremers and Simone M. Sepe, Institutional Investors, Corporate Governance, and Firm Value, 41 Seattle U. L. Rev. 387 (2018) | |
559 | Karl M. F. Lockhart, A ‘Corporate Democracy’?: Freedom of Speech and the SEC, 104 Va. L. Rev. 1593 (2018) | |
560 | Kathryn Smith, Incentivizing Transparency: Agricultural Benefit Corporations to Improve Consumer Trust, 55 San Diego L. Rev. 887 (2018) | |
561 | Kenyon Briggs, Taming the Wild West: How the SEC Can Legitimize Initial Coin Offerings (“ICOS”), Protect Consumers from Bad Actors, and Encourage Blockchain Development, 2 Bus. Entrepreneurship & Tax. L. Rev. 424 (2018) | |
562 | Kimberly Goldman, Theories and Solutions on Wolf Pack Activism, 7 Mich. Bus. & Entrepreneurial L. Rev. 341 (2018) | (6 citations) |
563 | Kirby McMahon, The Financial Banking Institute Act and the Financial Choice Act: The Wrong Choice for the American Economy, 14 J. Bus. & Tech. L. 107 (2018) | (4 citations) |
564 | Kobi Kastiel and Noam Noked, The “Hidden” Tax Cost of Executive Compensation, 70 Stan. L. Rev. Online 179 (2018) | (4 citations) |
565 | Ksenia Polonskaya, Diversity in the Investor-State Arbitration: Intersectionality Must Be a Part of the Conversation, 19 Melb. J. Int’l L. 259 (2018) | |
566 | L. Camille Hébert, Is “MeToo” Only a Social Movement or a Legal Movement Too?, 22 Employee Rts. & Emp. Pol’y J. 321 (2018) | |
567 | Lenore Palladino, Shareholder Primacy and Worker Prosperity: A Broken Link, 66 U. Kan. L. Rev. 1011 (2018) | |
568 | Lev Menand, Too Big to Supervise: The Rise of Financial Conglomerates and the Decline of Discretionary Oversight in Banking, 103 Cornell L. Rev. 1527 (2018) | |
569 | Lisa M. Fairfax, The Securities Law Implications of Financial Illiteracy, 104 Va. L. Rev. 1065 (2018) | |
570 | Lynn M. LoPucki, Corporate Charter Competition, 102 Minn. L. Rev. 2101 (2018) | |
571 | Madelyn La France, Jeffrey Boblick, Julia Dimitriadis, Jake Ducharme, Christina Fox, Joseph Lanuti, Daniel Villalba, and Leah Wisser, Securities Fraud, 55 Am. Crim. L. Rev. 1677 (2018) | (4 citations) |
572 | Malaina J. Weldy, Appraisal Arbitrage: In Case of Emergency, Break Glass, 93 Notre Dame L. Rev. 2191 (2018) | (2 citations) |
573 | Maria L. Banda, The Bottom-Up Alternative: The Mitigation Potential of Private Climate Governance after the Paris Agreement, 42 Harv. Entl. L. Rev. 325 (2018) | |
574 | Maria Lucia Passador and Federico Riganti, Shareholders’ Rights in Agency Conflicts: Selected Issues in the Transatlantic Debate, 42 Del. J. Corp. L. 569 (2018) | (2 citations) |
575 | Maria Lucia Passador, List Voting’s Travels: The Importance of being Independent in the Boardroom, 24 Fordham J. Corp. & Fin. L. 105 (2018) | (5 citations) |
576 | Mark J. Roe, Stock Market Short-Termism’s Impact, 167 U. Pa. L. Rev. 71 (2018) | (2 citations) |
577 | Mark R. Maciuch, Backstop, Not Bailout: The Case for Preserving the Orderly Liquidation Authority under Dodd-Frank, 13 Brook. J. Corp. Fin. & Com. L. 263 (2018) | |
578 | Martin Edwards, The Big Crowd and the Small Enterprise: Intracorporate Disputes in the Close-but-Crowdfunded Firm, 122 Penn. St. L. Rev. 411 (2018) | |
579 | Matthew C. Turk and Karen E. Woody, The Leidos Mixup and the Misunderstood Duty to Disclose in Securities Law, 75 Wash. & Lee L. Rev. 957 (2018) | |
580 | Matthew Evans Miehl, The Cost of Appraisal Rights: How to Restore Certainty in Delaware Mergers, 52 G. L. Rev. 651 (2018) | (2 citations) |
581 | Matthew Fagan, Third-Party Institutional Proxy Advisors: Conflicts of Interest and Roads to Reform, 51 U. Mich. J.L. Reform 621 (2018) | (2 citations) |
582 | Michael R. Meadows, The Evolution of Crowdfunding: Reconciling Regulation Crowdfunding with Initial Coin Offerings, 30 Loy. Consumer L. Rev. 272 (2018) | |
583 | Michael R. Siebecker and Andrew M. Brandes, Corporate Compliance and Criminality: Does Common Law Promote Culpable Blindness?, 50 Conn. L. Rev. 387 (2018) | |
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585 | Michelle Alvarez, A Comparative Analysis of Cryptocurrency Regulation in the United States, Nigeria, and China: The Potential Influence of Illicit Activities on Regulatory Evolution, 25 ILSA J. Int’l & Comp. L. 33 (2018) | |
586 | Mike Koehler, Foreign Corrupt Practices Act Continuity in a Transition Year, 70 S.C. L. Rev. 143 (2018) | |
587 | Mike Koehler, The FCPA’s Record-Breaking Year, 50 Conn. L. Rev. 91 (2018) | |
588 | Monica Tabales Maldonado and Alberto Tabales Maldonado, Compulsory Mediation in Cases of Mortgage Execution: Origin, Effect and Interrelation with the Loss Mitigation Process, 9 No. 1 U. Puerto Rico Bus. LJ 36 (2018) | |
589 | Natalie Nowiski, Rising Above the Storm: Climate Risk Disclosure and Its Current and Future Relevance to the Energy Sector, 39 Energy L.J. 1 (2018) | |
590 | Nate Crosser, Initial Coin Offerings as Investment Contracts: Are Blockchain Utility Tokens Securities?, 67 U. Kan. L. Rev. 379 (2018) | |
591 | Nicole Vincent, When Good Policies Go Bad: Controlling Risks Posed by Flawed Incentive-Based Compensation, 66 Clev. St. L. Rev. 775 (2018) | |
592 | Nicolle Stracar, Applying a New Regulatory Framework to Interested Transactions by Minority Shareholders, 20 U. Pa. J. Bus. L. 993 (2018) | |
593 | Nitzan Shilon, Replacing Executive Equity Compensation: The Case for Cash for Long-Term Performance, 43 Del. J. Corp. L. 1 (2018) | |
594 | Olabisi D. Akinkugbe, Informal Networks of Corruption: Assessing the Challenges for Public Sector Whistleblowing in Nigeria, 9 Jindal Global L. Rev. 11 (2018) | |
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596 | Qingxiu Bu, Extraterritorial Jurisdiction vis-á-vis Sovereignty in Tackling Transnational Counterfeits: Between a Rock and a Hard Place, 100 J. Pat. & Trademark Off. Soc’y 69 (2018) | |
597 | Rahul Kohli, Foreign Corrupt Practices Act, 55 Am. Crim. L. Rev. 1269 (2018) | |
598 | Rebecca Glikman, Money is Fungible, Causation Shouldn’t Be: An In-Depth Analysis of the Proximate Cause Standard Under the Anti-Terrorism Act, 2 Cardozo Int’l Comp. Pol’y & Ethics L. 254 (2018) | |
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601 | Robert S. Reder and Miron Klimkowski, Delaware Court Summons Corwin to Dismiss Breach of Fiduciary Duty Claim Grounded in Allegations of Director Self-Interest in Connection with Merger, 71 Vand. L. Rev. En Banc 145 (2018) | (2 citations) |
602 | Ronald J. Mann, Reliable Perfection of Security Interests in Crypto-Currency, 21 SMU Sci. & Tech. L. Rev. 159 (2018) | |
603 | Ruth Jebe, Matthew Meacham, and Max Williams, Fostering Corporate Sustainability through Directors’ Duties: South Africa’s Attempt to Align Corporate Governance with Its Constitution, 25 ILSA J. Int’l & Comp. L. 117 (2018) | |
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605 | Sabrina Galli, NYDFS Cybersecurity Regulations: A Blueprint for Uniform State Statute?, 22 N.C. Banking Inst. 235 (2018) | (2 citations) |
606 | Scott Hirst, The Case for Investor Ordering, 8 Harv. Bus. L. Rev. 227 (2018) | |
607 | Scott Hirst, Universal Proxies, 35 Yale J. on Reg. 437 (2018) | (3 citations) |
608 | Soo Young Hong, Curb Your Enthusiasm: The Rise of Hedge Fund Activist Shareholders and the Duty of Loyalty, 24 Fordham J. Corp. & Fin. L. 193 (2018) | |
609 | Sophia Sun, XII. The Federal Reserve Board’s Proposed Guidance on Risk Management at Large Financial Institutions–Response to Wells Fargo Scandal, 38 Rev. Banking & Fin. L. 147 (2018) | |
610 | Steven L. Schwarcz, Beyond Bankruptcy: Resolution as a Macroprudential Regulatory Tool, 94 Notre Dame L. Rev. 709 (2018) | (2 citations) |
611 | Steven L. Schwarcz, Regulating Complacency: Human Limitations and Legal Efficacy, 93 Notre Dame L. Rev. 1073 (2018) | |
612 | Steven R. Salbu, Mitigating the Harshness of FCPA Enforcement Through a Qualifying Good-Faith Compliance Defense, 55 Am. Bus. L.J. 475 (2018) | |
613 | Stphen M. Bainbridge, Kokesh Footnote Three Notwithstanding: The Future of the Disgorgement Penalty in SEC Cases, 56 Wash. U. J.L. & Pol’y 17 (2018) | |
614 | Sungyong Kang, In Defense of the Global Regulation of a “Duty to Report Crime”, 57 Washburn L.J. 77 (2018) | |
615 | Talib Amir, Iran Sanctions: A Compliance Perspective the Promise and Peril of Entering the Islamic Republic, 23 Fordham J. Corp. & Fin. L. 503 (2018) | |
616 | Tom C.W. Lin, Incorporating Social Activism, 98 B.U. L. Rev. 1535 (2018) | |
617 | Tood Haugh, The Power Few of Corporate Compliance, 53 Ga. L. Rev. 129 (2018) | |
618 | Verity Winship and Jennifer K. Robbennolt, An Empirical Study of Admissions in SEC Settlements, 60 Ariz. L. Rev. 1 (2018) | |
619 | William H. Henning, Susan M. Woodrow, and Marek Dubovec, A Proposal for a National Tribally Owned Lien Filing System to support Access to Capital in Indian Country, 18 Wyo. L. Rev. 475 (2018) | |
620 | William Magnuson, Financial Regulation in the Bitcoin Era, 23 Stan. J.L. Bus. & Fin. 159 (2018) | |
621 | William Magnuson, The Public Cost of Private Equity, 102 Minn. L. Rev. 1847 (2018) | |
622 | Yakov Amihud, Markus Schmid, and Steven Davidoff Solomon, Settling the Staggered Board Debate, 166 U. Pa. L. Rev. 1475 (2018) | |
623 | Yesha Yadav, Insider Information and the Limits of Insider Trading, 56 Wash. U. J.L. & Pol’y 135 (2018) | |
624 | Yesha Yadav, Too-Big-to-Fail Shareholders, 103 Minn. L. Rev. 587 (2018) | |
625 | Yu-Hsin Lin and Yun-Chien Chang, An Empirical Study of Corporate Default Rules and Menus in China, Hong Kong, and Taiwan, 15 J. Empirical Legal Stud. 875 (2018) | |
626 | Yuanyuan Tang, XII. Going Private or Not–Tesla’s U-Turn Backfires, 38 Rev. Banking & Fin. L. 165 (2018) | |
627 | Zoe Condon, A Snapshot of Dual-Class Share Structures in the Twenty-First Century: A Solution to Reconcile Shareholder Protections with Founder Autonomy, 68 Emory L.J. 335 (2018) | |
628 | Afra Afsharipour and J. Travis Laster, Enhanced Scrutiny on the Buy-Side, 53 Ga. L. Rev. 443 (2019) | |
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630 | Albert H. Choi and Eric Talley, Appraising the “Merger Price” Appraisal Rule, JLEO (2018) 34 (4): 543 (2019) | |
631 | Alex Pena and Brian JM Quinn, Appraisal Confusion: The Intended and Unintended Consequences of Delaware’s Nascent Pristine Deal Process Standard, 103 Marq. L. Rev. 457 (2019) | |
632 | Allison Murray, Given Today’s New Wave of Protectionism, is Antitrust Law the Last Hope for Preserving a Free Global Economy or Another Nail in Free Trade’s Coffin?, 42 Loy. L.A. Int’l & Comp. L. Rev. 117 (2019) | |
633 | Alyson Brown, Could Distributed Ledger Shares Lead to an Increase in Stockholder-Approved Mergers and Subsequently an Increase in Exercise of Appraisal Rights?, 10 Wm. & Mary Bus. L. Rev. 781 (2019) | (3 citations) |
634 | Amy D’Avella, ValueAct Partners and Hart-Scott-Rodino: Ending the Competition between Investor Interest and Antitrust Law, 8 Am. U. Bus. L. Rev 97 (2019) | (5 citations) |
635 | Amy Deen Westbrook and David A. Westbrook, Snapchat’s Gift: Equity Culture in High-Tech Firms, 46 Fla. St. U. L. Rev. 861 (2019) | (2 citations) |
636 | Amy Deen Westbrook, Securing the Nation or Entrenching the Board? The Evolution of CFIUS Review of Corporate Acquisitions, 102 Marq. L. Rev. 643 (2019) | |
637 | Anat Alon-Beck, Unicorn Stock Options–Golden Goose or Trojan Horse?, 2019 Colum. Bus. L. Rev. 107 (2019) | (3 citations) |
638 | Andrew Carl Spacone, The Second Circuit’s Curious Journey Through the Law of Tippee Liability for Insider Trading: Newman to Martoma, 24 Roger Williams U. L. Rev. 1 (2019) | (3 citations) |
639 | Andrew F. Tuch, Why Do Proxy Advisors Wield So Much Influence? Insights from U.S.-U.K. Comparative Analysis, 99 B.U.L. Rev. 1459 (2019) | (3 citations) |
640 | Andrew Palmer, The CFPB Arbitration Rule, 9 Harv. Bus. L. Rev. Online 15 (2019) | |
641 | Andrew Verstein, Crypto Assets and Insider Trading Law’s Domain, 105 Iowa L. Rev. 1 (2019) | |
642 | Andrew Winden and Andrew Baker, Dual-Class Index Exclusion, 13 Va. L. & Bus. Rev. 101 (2019) | (4 citations) |
643 | Andy Green, Making Capital Markets Work for Workers, Investors, and the Public: ESG Disclosure and Corporate Long-Termism, 69 Case W. Res. L. Rev. 909 (2019) | (3 citations) |
644 | Ann M. Lipton, What We Talk About When We Talk About Shareholder Primacy, 69 Case W. Res. L. Rev. 863 (2019) | (2 citations) |
645 | Anna Duke, What Does the CISG have to Say about Smart Contracts? A Legal Analysis, 20 Chi. J. Int’l L. 141 (2019) | |
646 | Anna Windemuth, The #MeToo Movement Migrates to M&A Boilerplate, 129 Yale L.J. 488 (2019) | (2 citations) |
647 | Anton N. Didenko and Ross P. Buckley, The Evolution of Currency: Cash to Cryptos to Sovereign Digital Currencies, 42 Fordham Int’l L.J. 1041 (2019) | |
648 | Asaf Eckstein and Gideon Parchomovsky, Toward a Horizontal Fiduciary Duty in Corporate Law, 104 Cornell L. Rev. 803 (2019) | |
649 | Assaf Hamdani and Sharon Hannes, The Future of Shareholder Activism, 99 B.U. L. Rev. 971 (2019) | (7 citations) |
650 | Becky L. Jacobs and Brad Finney, Defining Sustainable Business-Beyond Greenwashing, 37 Va. Envtl. L.J. 89 (2019) | |
651 | Ben Taylor, Why California Senate Bill 826 and gender Quotas are Unconstitutional: Shareholder Activism as a Better Path to Gender Equality in the Boardroom, 18 Fla. St. U. Bus. Rev. 117 (2019) | |
652 | Benjamin J. Barocas, The Corporate Practice of Gerrymandering the Voting Rights of Common Stockholders and the Case for Measured Reform, 167 U. Pa. L. Rev. 497 (2019) | (3 citations) |
653 | Benjamin J. Nickerson, The Underlying Underwriter: An Analysis of the Spotify Direct Listing, 86 U. Chi. L. Rev. 985 (2019) | |
654 | Bernard C. Beaudreau, Technological and Institutional Crossroads: The Life and Times of Adolf A. Berlf Jr., 42 Seattle U. L. Rev. 345 (2019) | |
655 | Bernard S. Sharfman, How the SEC Can Help Mitigate the “Proactive” Agency Costs of Agency Capitalism, 8 Am. U. Bus. L. Rev. 1 (2019) | (2 citations) |
656 | Bernard S. Sharfman, The Undesirability of Mandatory Time-Based Sunsets in Dual Class Share Structures: A Reply to Bebchuk and Kastiel, 93 S. Cal. L. Rev. Postscript 1 (2019) | (2 citations) |
657 | Boris J. Steffen, The Evolutino of CDs, 38-NOV Am. Bankr. Inst. J. 22 (2019) | (2 citations) |
658 | Bradley Larkin, Breaking Up the Focus on Relationships for Nonpecuniary Insider Trading Personal Benefits, 88 Fordham L. Rev. 267 (2019) | |
659 | Brandon Ferrick, Modernizing the Stockholder Shield: How Blockchains and Distributed Ledgers Could Rescue the Appraisal Remedy, 60 B.C. L. Rev. 621 (2019) | (6 citations) |
660 | Brandon Ferrick, The Times They are A-Changin’: Incorporating Blockchain Networks into the Event Ticket Industry, 20 Tex. Rev. Ent. & Sports L. 113 (2019) | |
661 | Brennan Ackerman, The Fiduciary Duties of the Board of Directors: Cybersecurity Potential Liability and Preventative Actions, 2 Wayne J. Bus. L. 12 (2019) | (3 citations) |
662 | Brent J. Horton, Spotify’s Direct Listing: Is It a Recipe for Gatekeeper Failure?, 72 SMU L. Rev. 177 (2019) | (4 citations) |
663 | Brian Broughman, Merger Negotiations in the Shadow of Judicial Appraisal, 62 J.L. & Econ. 281 (2019) | (5 citations) |
664 | Brian Ray, Blockchain Symposium Introduction: Overview and Historical Introduction, 67 Clev. St. L. Rev. 1 (2019) | |
665 | Bridget Vuona, Foreign Corrupt Practices Act, 56 Am. Crim. L. Rev. 979 (2019) | |
666 | Bruce Davis, Dilution, Disclosure, Equity Compensation, and Buybacks, 74 Bus. Law. 631 (2019) | (3 citations) |
667 | Bryan P. Magee, Impersonal Personhood: Crafting a Coherent Theory of the Corporate Entity, 104 Cornell L. Rev. 497 (2019) | |
668 | Caitlin Bozman, Holding the Line or Changing Tides? The Future of “Too Big to Fail” Regulation, 107 Geo. L.J. 1105 (2019) | |
669 | Camille Paquette, Promoting the Long-Term Management of Public Corporations through a Reform of Canadian Corporate Law, 24 Appeal 19 (2019) | (2 citations) |
670 | Charlotte S. Alexander, Litigation Migrants, 56 Am. Bus. L.J. 235 (2019) | |
671 | Chiara Mosca, Should Shareholders be Rewarded for Loyalty? European Experiments on the Wedge between Tenured Voting and Takeover Law, 8 Mich. Bus. & Entrepreneurial L. Rev. 245 (2019) | |
672 | Christina Parajon Skinner, Bank Disclosures of Cyber Exposure, 105 Iowa L. Rev. 239 (2019) | (2 citations) |
673 | Christine Abely, Causing a Sanctions Violation with U.S. Dollars: Differences in Regulatory Language Across OFAC Sanctions Programs, 48 Ga. J. Int’l & Comp. L. 29 (2019) | |
674 | Christopher G. Bradley, Disrupting Secured Transactions, 56 Hous. L. Rev. 965 (2019) | |
675 | Christopher J. Merkena, Not Just Going Private: In Re MFW Shareholder Litigation’s Evolution and Expansion Should Result in a Uniform Standard of Review in All Conflicted Controller Transactions, 46 W. St. L. Rev. 1 (2019) | (3 citations) |
676 | Claire A. Hill, #MeToo and the Convergence of CSR and Profit Maximization, 69 Case W. Res. L. Rev. 895 (2019) | (2 citations) |
677 | Claire A. Hill, Marshalling Reputation to Minimize Problematic Business Conduct, 99 B.U. L. Rev. 1193 (2019) | (2 citations) |
678 | Claudia A. Restrepo, The Need for Increased Possibility of Director Liability: Refusal to Dismiss In Re Wells Fargo & Co. Shareholder Derivative Litigation, a Step in the Right Direction, 60 B.C. L. Rev. 1689 (2019) | (4 citations) |
679 | Da Lin, Beyond Beholden, 44 J. Corp. L. 515 (2019) | (2 citations) |
680 | Daniel C. Etsy and Quentin Karpilow, Harnessing Investor Interest in Sustainability: The Next Frontier in Environmental Information Regulation, 36 Yale J. on Reg. 625 (2019) | (2 citations) |
681 | Danielle M. Kinchen, Look to Your Left, Look to Your Right: Why the SEC Should Reserve Seats at the Boardroom Table for Shareholder Nominees, 20 U.C. Davis Bus. L.J. 1 (2019) | (3 citations) |
682 | Darren Rosenblum and Yaron Nili, Board Diversity by Term Limits?, 71 Ala. L. Rev. 211 (2019) | (12 citations) |
683 | Darren Rosenblum, California Dreaming?, 99 B.U. L. Rev. 1435 (2019) | (4 citations) |
684 | David Hess, Chipping Away at Compliance: How Compliance Programs Lose Legitimacy and its Impact on Unethical Behavior, 14 Brook. J. Corp. Fin. & Com. L. 5 (2019) | |
685 | David J. Berger, Reconsidering Stockholder Primacy in an Era of Corporate Pupose, 74 Bus. Law. 659 (2019) | |
686 | David J. Bier, Integrating Integrity: Confronting Data Harms in the Administrative Age, 99 B.U. L. Rev. 1799 (2019) | |
687 | Deborah Tuerkheimer, Beyond #MeToo, 94 N.Y.U. L. Rev. 1146 (2019) | |
688 | Donald C. Langevoort, Disasters and Disclosures: Securities Fraud Liability in the Shadow of a Corporate Catastrophe, 107 Geo. L.J. 967 (2019) | |
689 | Dorothy S. Lund, Nonvoting Shares and Efficient Corporate Governance, 71 Stan. L. Rev. 687 (2019) | (11 citations) |
690 | E. Christopher Johnson Jr., Fernanda Beraldi, Edwin Broecker, Emily Brown, and Susan Maslow, The Business Case for Lawyers to Advocate for Corporate Supply Chains Free of Labor Trafficking and Child Labor, 68 Am. U. L. Rev. 1555 (2019) | |
691 | Edward Rivin, Section 14(E)’s Culpability Requirement: Scienter v. Negligence, 88 U. Cin. L. Rev. 289 (2019) | |
692 | Eli Cole, Cryptocurrency and the § 1031 Like Kind Exchange, 10 Hastings Sci. & Tech. L.J. 75 (2019) | |
693 | Elisabeth de Fontenay, Private Equity’s Governance Advantage: A Requiem, 99 B.U. L. Rev. 1095 (2019) | |
694 | Elizabeth Davidson, A Middle-Ground for Cryptocurrency Regulation: Using Delaware’s Incentive-Driven Private-Ordering Model, 44 Iowa J. Corp. L. 789 (2019) | |
695 | Emily Matta, Kansans at Risk: Strengthened Data Breach Notification Laws as a Deterrent to Reckless Data Storage, 67 U. Kan. L. Rev. 823 (2019) | |
696 | Eric C. Chaffee, Collaboration Theory and Corporate Tax Avoidance, 76 Wash. & Lee L. rev. 93 (2019) | |
697 | Erika George, Shareholder Activism and Stakeholder Engagement Strategies: Promoting Environmental Justice, Human Rights, and Sustainable Development Goals, 36 Wis. Int’l L.J. 298 (2019) | (2 citations) |
698 | Faith Stevelman and Sarah C. Haan, Board Governance for the Twenty-First Century, 74 Bus. Law. 329 (2019) | |
699 | Federico Panisi, Ross P. Buckley, and Douglas Arner, Blockchain and Public Companies: A Revolution in Share Ownership Transparency, Proxy Voting and Corporate Governance?, 2 Stan. J. Blockchain L. & Pol’y 189 (2019) | (2 citations) |
700 | Gabe Maldoff and Omer Tene, The Costs of Not Using Data: Balancing Privacy and the Perils of Inaction, 15 J.L. Econ. & Pol’y 41 (2019) | |
701 | Gaia Balp, Activist Shareholders at de facto Controlled Companies, 13 Brook. J. Corp. Fin. & Com. L. 341 (2019) | (6 citations) |
702 | George A. Fowler, Mandatory Arbitration Clauses for Shareholders: An Efficient Solution or an Unconscionable Change?, 2019 J. Disp. Resol. 181 (2019) | |
703 | Hari M. Osofsky, Jacqueline Peel, Brett McDonnell, and Anita Foerster, Energy Re-Investment, 94 Ind. L.J. 595 (2019) | |
704 | Henry S. Zaytoun, Cyber Pickpockets: Blockchain, Cryptocurrency, and the Law of Theft, 97 N.C. L. Rev. 395 (2019) | |
705 | Hsin-Ti Chang, Dissenting Opinions of Independent Directors in Taiwain: An Empirical Study, 15 U. Pa. Asian L. Rev. 1 (2019) | |
706 | Iman Anabtawi, The Twilight of Enhanced Scrutiny in Delaware M&A Jurisprudence, 43 Del. J. Corp. L. 161 (2019) | |
707 | Isaac Lederman, Annual Survey of Federal En Banc and Other Significant Cases: When the Same Words Mean Different Things: Varjabedian v. Emulex Corp. and the Requirements of Section 14(E) of the Exchange Act, 60 B.C. L. Rev. E-Supplement II.-120 (2019) | |
708 | Itai Fiegenbaum, The Controlling Shareholder Enforcement Gap, 56 Am. Bus. L.J. 583 (2019) | |
709 | J.B. Heaton, The Unfulfilled Promise of Hedge Fund Activism, 13 Va. L. & Bus. Rev. 317 (2019) | |
710 | J.S. Nelson, Disclosure-Driven Crime, 52 U.C. Davis L. Rev. 1487 (2019) | |
711 | Jacob Gregory Shulman, Private Ordering of Proxy Access: What Are “Fix-It” Proposals Actually Fixing?, 15 Rutgers Bus. L. Rev. 1 (2019) | (3 citations) |
712 | James D. Cox, Tomas J. Mondino, and Randall S. Thomas, Understanding the (Ir)Relevance of Shareholder Votes on M&A Deals, 69 Duke L.J. 503 (2019) | (2 citations) |
713 | James Horner, Code Dodgers: Landlord Use of LLCs and Housing Code Enforcement, 37 Yale L. Pol’y Rev. 647 (2019) | |
714 | James Skelley, Parity Analysis: Topological Considerations for Patent Valuation and Portfolio Management, 18 Chi.-Kent J. Intell. Prop. 284 (2019) | |
715 | Jared Arcari, Decoding Smart Contracts: Technology, Legitimacy, & Legislative Uniformity, 24 Fordham J. Corp. & Fin. L. 363 (2019) | (2 citations) |
716 | Jason Jacobs, Tiptoeing the Line between National Security and Protectionism: A Comparative Approach to Foreign Direct Investment Screening in the United States and European Union, 47 Int’l J. Legal Info. 105 (2019) | |
717 | Jayden R. Barrington, CFIUS Reform: Fear and FIRRMA, an Inefficient and Insufficient Expansion of Foreign Direct Investment Oversight, 21 Transactions: Tenn. J. Bus. L. 77 (2019) | (3 citations) |
718 | Jeffrey M. Lipshaw, The Persistence of “Dumb” Contracts, 2 Stan. J. Blockchain L. & Pol’y 1 (2019) | (2 citations) |
719 | Jennifer G. Hill, The Trajectory of American Corporate Governance: Shareholder Empowerment and Private Ordering Combat, 2019 U. Ill. L. Rev. 507 (2019) | (16 citations) |
720 | Jeremy C. Kress, Solving Banking’s “Too Big to Manage” Problem, 104 Minn. L. Rev. 171 (2019) | |
721 | Jill E. Fisch, Making Sustainability Disclosure Sustainable, 107 Geo. L.J. 923 (2019) | (5 citations) |
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724 | Jingchen Zhao and Zhihui Li, The Regulatory Framework of Executive Remuneration: Contributions from Shareholder Activism and Board Accountability, 15 Hastings Bus. L.J. 203 (2019) | |
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729 | Joseph R. Pileri, Who is the Client? Rethinking Professional Responsibility for Benefit Corporations, 68 Cath. U.L. Rev. 291 (2019) | |
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732 | Keith Johnson, Cynthia Williams, and Ruth Aguilera, Proxy Voting Reform: What is on the Agenda, What is Not on the Agenda, and Why it Matters for Asset Owners, 99 B.U. L. Rev. 1347 (2019) | |
733 | Kevin O’Connell, Has Regulation Affected the High Frequency Trading Market?, 27 Cath. U. J. L. & Tech. 145 (2019) | |
734 | Kobi Kastiel and Adi Libson, Global Antitakeover Devices, 36 Yale J. on Reg. 117 (2019) | (13 citations) |
735 | Kristin N. Johnson, Automating the Risk of Bias, 87 Geo. Wash. L. Rev. 1214 (2019) | |
736 | Laura N. Coordes, Beyond the Bankruptcy Code: A New Statutory Bankruptcy Regime for Tribal Debtors, 35 Emory Bankr. Dev. J. 363 (2019) | |
737 | Leo E. Strine, Jr., Made for This Moment: The Enduring Relevance of Adolf Berle’s Belief in a Global New Deal, 42 Seattle U. L. Rev. 267 (2019) | |
738 | Leon Yehuda Anidjar, Toward Relative Corporate Governance Regimes: Rethinking Concentrated Ownership Structure Around the World, 30 Stan. L. & Pol’y Rev. 197 (2019) | |
739 | Lisa M. Fairfaix, All on Board? Board Diversity Trends Reflect Signs of Promise and Concern, 87 Geo. Wash. L. Rev. 1031 (2019) | (4 citations) |
740 | Lisa M. Fairfax, From Apathy to Activism: The Emergence, Impact, and Future of Shareholder Activism as the New Corporate Governance Norm, 99 B.U. L. Rev. 1301 (2019) | (7 citations) |
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744 | Lucian Bebchuk and Scott Hirst, Index Funds and the Future of Corporate Governance: Theory, Evidence, and Policy, 119 Colum. L. Rev. 2029 (2019) | (9 citations) |
745 | Marc Edelman and Jennifer M. Pacella, Vaulted into Victims: Preventing Further Sexual Abuse in U.S. Olympic Sports through Unionization and Improved Governance, 61 Ariz. L. Rev. 463 (2019) | |
746 | Marc I. Steinberg, The Federalization of Corporate Governance–An Evolving Process, 50 Loy. U. Chi. L.J. 539 (2019) | |
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749 | Marcia Narine Weldon and Rachel Epstein, Beyond Bitcoin: Leveraging Blockchain to Benefit Business and Society, 20 Transactions: Tenn. J. Bus. L. 837 (2019) | (2 citations) |
750 | Maria Lucia Passador and Federico Riganti, Less is More in the Age of Information Overload: The Paradigm Shift from a Shareholder-To a Stakeholder-Oriented Market, 15 N.Y.U. J.L. & Bus. 567 (2019) | (3 citations) |
751 | Maria Lucia Passador, The Woeful Inadequacy of Section 13(D): Time for a Paradigm Shift?, 13 Va. L. & Bus. Rev. 279 (2019 | (6 citations) |
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753 | Matteo Gatti, Upsetting Deals and Reform Loop: Can Companies and M&A Law in Europe Adapt to the Market for Corporate Control?, 25 Colum. J. Eur. L. 1 (2019) | (2 citations) |
754 | Matthew C. Turk and Karen E. Woody, Justice Kavanaugh, Lorenzo v. SEC, and the Post-Kennedy Supreme Court, 71 Admin. L. Rev. 193 (2019) | |
755 | Matthew R. Lyon, The Trump Administration’s Response to the Blockchain Era, 70 Mercer L. Rev. 641 (2019) | |
756 | Meredith Foster, Special Meetings and Consent Solicitations: How the Written-Consent Right Uniquely Empowers Shareholders, 128 Yale L.J. 1706 (2019) | (5 citations) |
757 | Michael L. D’Ambrosio, Virtual Currency Regulation: From the Shadows of the Internet to the Floor of Congress, 19 Wake Forest J. Bus. & Intell. Prop. L. 243 (2019) | |
758 | Michael Lichtmacher, Regulating Retirement: Understanding the Impact of New Best Interest and Fiduciary Standards on Retail Investors, 50 St. Mary’s L.J. 1059 (2019) | |
759 | Michal Barzuza, Proxy Access for Board Diversity, 99 B.U. L. Rev. 1279 (2019) | |
760 | Mike Koehler, Has the FCPA Been Successful in Achieving Its Objectives?, 2019 U. Ill. L. Rev. 1267 (2019) | |
761 | Minor Myers and Justin Sevier, The Paradox of Executive Compensation Regulation, 44 Iowa J. Corp. L. 755 (2019) | |
762 | Nathan Vrazel, Betting It All on the Flip of a Coin: Regulating Cryptocurrency Initial Coin Offerings and Protecting Investors, 60 S. Tex. L. Rev. 527 (2019) | |
763 | Nathan Witkin, Executive Bargaining: CEOs Negotiating Their Pay with Employees for Corporate Efficiency, 29 Kan. J.L. & Pub. Pol’y 119 (2019) | |
764 | Nick Werle, Prosecuting Corporate Crime When Firms are Too Big to Jail: Investigation, Deterrence, and Judicial Review, 128 Yale L.J. 1366 (2019) | |
765 | Nicolena Farias-Eisner, Gender Diversity in Corporate Boardrooms: Do Equal Seats Mean Equal Voices, 13 J. Bus. Entrepreneurship & L. 1 (2019) | |
766 | Noel Semple, Measuring Legal Service Value, 52 U.B.C. L. Rev. 943 (2019) | |
767 | Omari Scott Simmons, Chancery’s Greatest Decision: Historical Insights on Civil Rights and the Future of Shareholder Activism, 76 Wash. & Lee L. Rev. 1259 (2019) | |
768 | Patrick J. Gallagher, Going Public Secretly: The SEC’s Unavailing Effort to Increase Initial Public Offerings Through Confidential Registration, 2019 Colum. Bus. L. Rev. 305 (2019) | (3 citations) |
769 | Paul H. Edelman, Wei Jiang, and Randall S. Thomas, Will Tenure Voting Give Corporate Managers Lifetime Tenure?, 97 Tex. L. Rev. 991 (2019) | |
770 | Paul Rissman and Diana Kearney, Rise of the Shadow ESG Regulators: Investment Advisers, Sustainability Accounting, and Their Effects on Corporate Social Responsibility, 49 Envtl. L. Rep. News & Analysis 10155 (2019) | (2 citations) |
771 | Peter Molk and Frank Partnoy, Institutional Investors as Short Sellers?, 99 B.U. L. Rev. 837 (2019) | |
772 | Rachel G. Miller, A Practice Worth Ending: EPS Guidance Harming Long-Term Growth, 95 Notre Dame L. Rev. 445 (2019) | |
773 | Renalia Smith DuBose, Compliance–A Major Change in Employment Opportunities for Law School Graduates Fueled by Major Changes in the Economic History of the United States, 35 W. Mich. U. T.M. Cooley L. Rev. 1 (2019) | |
774 | Robert Bartlett, Matthew D. Cain, Jill E. Fisch, and Steven Davidoff Solomon, The Myth of Morrison: Securities Fraud Litigation Against Foreign Issuers, 74 Bus. Law. 967 (2019) | |
775 | Roshaan Wasim, Corporate (Non)Disclosure of Climate Change Information, 119 Colum. L. Rev. 1311 (2019) | |
776 | Roy Shapira, Mandatory Arbitration and the Market for Reputation, 99 B.U.L. Rev. 873 (2019) | (3 citations) |
777 | Samuel N. Liebmann, Dazed and Confused: Revamping the SEC’s Unpredictable Calculation of Civil Penalties in the Technological Era, 69 Duke L.J. 429 (2019) | |
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782 | Scott Hirst and Kobi Kastiel, Corporate Governance by Index Exclusion, 99 B.U. L. Rev. 1229 (2019) | (5 citations) |
783 | Scott J. Schackelford, Should Cybersecurity be a Human Right? Exploring the ‘Shared Responsibility’ of Cyber Peace, 55 Stan. J. Int’l L. 155 (2019) | |
784 | Scott J. Shackelford, Governing the Internet of Everything, 37 Cardozo Arts & Ent. L.J. 701 (2019) | |
785 | Sean J. Griffith and Dorothy S. Lund, Conflicted Mutual Fund Voting in Corporate Law, 99 B.U. L. Rev. 1151 (2019) | (2 citations) |
786 | Sebastian Grund and Mikael Stenström, A Sovereign Debt Restructuring Framework for the Euro Area, 42 Fordham Int’l. L.J. 795 (2019) | |
787 | Serena Hamann, Effective Corporate Compliance: A Holistic Approach for the SEC and the DOJ, 94 Wash. L. Rev. 851 (2019) | |
788 | Seth Cleary, Delaware Law, Friend or Foe? The Debate Surrounding Sandbagging and How Delaware’s Highest Court Should Rule on a Default Rule, 72 SMU L. Rev. 821 (2019) | (2 citations) |
789 | Sharon Yadin, Regulatory Shaming, 49 Envtl. L. 407 (2019) | |
790 | Sharon Yadin, Saving Lives through Shaming, 9 Harv. Bus. L. Rev. Online 57 (2019) | |
791 | Spencer J. Nord, Blockchain Plumbing: A Potential Solution for Shareholder Voting?, 21 U. Pa. J. Bus. L. 706 (2019) | (2 citations) |
792 | Stavros Gadinis and Amelia Miazad, The Hidden Power of Compliance, 103 Minn. L. Rev. 2135 (2019) | (2 citations) |
793 | Stephanie J. Bagot, Cross-Border Mergers and Acquisitions: Transaction Challenges in Emerging Nations, 37 No. 5 ACC Docket 36 (2019) | |
794 | Stetson Biggs, Celebreity Executives and Social Media: Are High Follower Counts Sufficient to Satisfy SEC Disclosure Obligations?, 9 Ariz. St. Sports & Ent. L.J. 107 (2019) | |
795 | Steven A. Bank and George S. Georgiev, Securities Disclosure as Soundbite: The Case of CEO Pay Ratios, 60 B.C. L. Rev. 1123 (2019) | |
796 | Susan N. Gary, Best Interests in the Long Term: Fiduciary Duties and ESG Integration, 90 U. Colo. L. Rev. 731 (2019) | (5 citations) |
797 | Thomas A. Lambert and Michael E. Sykuta, The Case for Doing Nothing about Institutional Investors’ Common Ownership of Small Stakes in Competing Firms, 13 Va. L. Bus. Rev. 213 (2019) | |
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800 | Usha R. Rodrigues, Law and the Blockchain, 104 Iowa L. Rev. 679 (2019) | |
801 | Veronica Root Martinez, Combating Silence in the Profession, 105 Va. L. Rev. 805 (2019) | |
802 | Virginia Harper Ho, From Public Policy to Materiality: Non-Financial Reporting, Shareholder Engagement, and Rule 14A-8’s Ordinary Business Exception, 76 Wash. & Lee L. Rev. 1231 (2019) | |
803 | W. Randy Eaddy, A Case for Eliminating Quarterly Periodic Reporting: Addressing the Malady of Short-Termism in U.S. Markets with Real Medicine, 74 Bus. Law. 387 (2019) | |
804 | William S. Laufer and Matthew Caulfield, Wall Street and Progressivism, 37 Yale J. on Reg. Bulletin 36 (2019) | |
805 | Yaniv Heled, Liza Vertinksy, and Cass Brewer, Why Healthcare Companies Should Be(come) Benefit Corporations, 60 B.C. L. Rev. 73 (2019) | |
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808 | Yifat Aran, Making Disclosure Work for Start-Up Employees, 2019 Colum. Bus. L. Rev. 867 (2019) | |
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814 | Lyman Johnson, Emerging Issues in Social Enterprise: Pluralism in Corporate Form: Corporate Law and Benefit Corps., 25 Regent U.L. Rev. 269 (2012-2013) | |
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816 | Alexander I. Platt, SEC Administrative Proceedings: Backlash and Reform, 71 Bus. Law. 1 (2015-2016) | |
817 | Allen K. Barrett, The Continuing Legacy of Enron: Whistleblowing under the Sarbanes-Oxley Act after Lawson v. FMR LLC, 21 Suffolk J. Trial & App. Advoc. 109 (2015-2016) | |
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819 | Christian W. Borek, Regulation A+: Navigating Equity-Based Crowdfunding Under Title IV of The Jobs Act, 47 Cumb. L. Rev. 143 (2016-2017) | |
820 | Alexander M. Nourafshan, From the Closet to the Boardroom: Regulating LGBT Diversity on Corporate Boards, 81 Alb. L. Rev. 439 (2017-2018) | |
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825 | Brian MacNiven, Initial Coin Offerings: Striking a Balance between Protecting Investors and Fostering Growth, 14 Rutgers Bus. L. Rev. 1 (2018-2019) | |
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827 | Donald Pierce, Protecting the Voice of Retail Investors: Implementation of a Blockchain Proxy Voting Platform, 14 Retugers Bus. L. Rev. 1 (2018-2019) | |
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