Forum Citations

The Forum is the top online resource for discourse on corporate governance, and its posts have been widely cited in over 350 law review articles and regulatory materials. Articles and materials including citations to the Forum include the following:

1 Marcia Narine, The Cuba Conundrum:  Corporate Governance and Compliance Challenges for U.S. Publicly-Traded Companies, 18 U. Pa. J. Bus. L. 865 (2016)
2 Hugo Margoc, Shareholder Activism in Canada:  A Deliberate Policy Choice, 31 B.F.L.R. 291 (2016) (2 citations)
3 Raymonde Crête, The Volkswagen Scandal from the Viewpoint of Corporate Governance, 7 Eur. J. Risk Reg. 25 (2016)
4 Claude Lopez and Elham Saeidinezhad, Dodd-Frank:  Washington, We Have a Problem, 35 No. 8 Banking & Fin. Services Pol’y Rep. 1 (2016)
5 Brenda Bauges, Alexandra S. Grande, and Caitlin King, Women on State Boards and Commissions:  Is Idaho Where it Wants to be?, 59-APR Advocate (Idaho) 29 (2016)
6 Maria B. Bock, Shareholder Activism:  The 21st Century Poison Pill Replacement, 93 Denv. U. L. Rev. Online 341 (2016)
7 John L. Douglas, New Wine into Old Bottles:  Fintech Meets the Bank Regulatory World, 20 N.C. Banking Inst. 17 (2016)
8 Amnon Lehavi, Property and Secrecy, 50 Real Prop. Tr. & Est. L.J. 381 (2016)
9 David G. Yosifon, Is Corporate Patriotism a Virtue?, 14 Santa Clara J. Int’l L. 265 (2016)
10 Mihaela Gherghe, Raluca Papadima and Radu Văleanu, Shareholder Exit Signs on American and European Highways:  Under Construction, 18 U. Pa. J. Bus. L. 1059 (2016)
11 Andrew A. Schwartz, Financing Corporate Elections, 41 J. Corp. L. 863 (2016)
12 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)
13 Carmen X.W. Lu, Unpacking Wolf Packs, 125 Yale L.J. 773 (2016) (3 citations)
14 Kobi Kastiel, Against All Odds:  Hedge Fund Activism in Controlled Companies, 2016 Colum. Bus. L. Rev. 60 (2016) (4 citations)
15 Matthew D. Cain, Jill E. Fisch, Sean J. Griffith, and Steven Davidoff Solomon, How Corporate Governance is Made:  The Case of the Golden Leash, 164 U. Pa. L. Rev. 649 (2016) (3 citations)
16 Virginia Harper Ho, Risk-Related Activism:  The Business Case for Monitoring Nonfinancial Risk, 41 J. Corp. L. 647 (2016) (4 citations)
17 Traci Hayes, Irma S. Russell, and Isaac W. Straub, New Enforcement Policy Targets Individuals, 30-SPG Nat. Resources & Env’t 53 (2016)
18 Steven A. Bank and George S. Georgiev, Paying High for Low Performance, 100 Minn. L. Rev. Headnotes 14 (2016) (2 citations)
19 K.J. Martijn Cremers and Simone M. Sepe, The Shareholder Value of Empowered Boards, 68 Stan. L. Rev. 67 (2016) (3 citations)
20 Andrew Holt, Protecting Delaware Corporate Law:  Section 115 and Its Underlying Ramifications, 5 Am. U. Bus. L. Rev. 209 (2016) (2 citations)
21 Securities Regulation–Dodd-Frank Wall Street Reform and Consumer Protection Act–SEC Finalizes Regulations Requiring Companies to Disclose Pay Ratio Between the CEO and Median Employee.–Pay Ratio Disclosure, 80 Fed. Reg. 50, 104 (Aug. 18, 2015) (To be Codified at 17 C.F.R. PTS. 229, 240, 249), 129 Harv. L. Rev. 1144 (2016)
22 Joseph W. Yockey, Beyond Yates:  From Engagement to Accountability in Corporate Crime, 12 N.Y.U. J.L. & Bus. 407 (2016)
23 Megan Livingston, The “Unordinary Business” Exclusion and Changes to Board Structure, 93 Denv. U. L. Rev. Online 263 (2016)
24 Anita Anand, Offloading the Burden of being Public:  An Analysis of Multiple Voting Share Structures, 10 Va. L. & Bus. Rev. 395 (2016)
25 Nicole L. Jones, Shareholder Proposals, Director Elections, and Proxy Access:  The History of the SEC’s Impediments to Shareholder Franchise, 93 Denv. U. L. Rev. Online 233 (2016)
26 Frederick H. Alexander, Chris Cernich, Mark Lebovitch, Norman M. Monhait, and Andrew J. Pincus, Fee-Shifting in Shareholder Litigation, 21 Fordham J. Corp. & Fin. L. 455 (2016)
27 Hwa-Jin Kim, Financial Regulation and Supervision in Corporate Governance of Banks, 41 J. Corp. L. 707 (2016)
28 Joel Slawotsky and Jon M. Truby, The Director Duty of Care in Qatar, 26 Duke J. Comp.  Int’l L. 337 (2016)
29 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)
30 Marianna Wonder, The Changing Odds of the Chancery Lottery, 84 Fordham L. Rev. 2381 (2016)
31 Gaurav Jetley and Xinyu Ji, Appraisal Arbitrage–Is There a Delaware Advantage?, 71 Bus. Law. 427 (2016)
32 Emiliano M. Catan and Marcel Kahan, The Law and Finance of Antitakeover Statutes, 68 Stan. L. Rev. 629 (2016)
33 Robert B. Thompson, Anti-Primacy:  Sharing Power in American Corporations, 71 Bus. Law. 381 (2016)
34 Christina Parajon Skinner, Misconduct Risk, 84 Fordham L. rev. 1559 (2016)
35 Christina Parajon Skinner, Whistleblowers and Financial Innovation, 94 N.C. L. Rev. 861 (2016)
36 Robert C. Bird and Stephen Kim Park, The Domains of Corporate Counsel in an Era of Compliance, 53 Am. Bus. L.J. 203 (2016)
37 David Zaring, Financial Reform’s Internationalism, 65 Emory L.J. 1255 (2016)
38 Jill E. Fisch, The New Governance and the Challenge of Litigation Bylaws, 81 Brook. L. Rev. 1637 (2016) (5 citations)
39 William Alan Nelson II, Informing Shareholders:  Providing a Roadmap for the SEC to Act to Require Public Corporations to Disclose Political Spending, 9 Alb. Gov’t L. Rev. 241 (2016) (4 citations)
40 Zachary James Wilson, Challenges to Crowdfunding Offering Disclosures:  What Grade Will Your Offering Disclosure Get?, 38 Campbell L. Rev. 457 (2016) (2 citations)
41 Alina S. Ball, Social Enterprise Governance, 18 U. Pa. J. Bus. L. 919 (2016) (2 citations)
42 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)
43 Nicholas Tsui, Could a Lack of Strong Patents Spur the Next Global Market Collapse?, 16 Wake Forest J. Bus. & Intell. Prop. L. 182 (2016)
44 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)
45 Shlomit Azgad-Tromer, Corporations and the 99%:  Team Production Revisited, 21 Fordham J. Corp. & Fin. L. 163 (2016)
46 Kristin N. Johnson, Managing Cyber Risks, 50 Ga. L. Rev. 547 (2016)
47 Andrew A. Schwartz, Inclusive Crowdfunding, 2016 Utah L. Rev. 661 (2016)
48 K.J. Martijn Cremers, Saura Masonale, and Simone M. Sepe, Commitment and Entrenchment in Corporate Governance, 110 Nw. U. L. Rev. 727 (2016)
49 Lide E. Paterno, Irresponsible Corporate-Responsibility Rules, 77 U. Pitt. L. Rev. 499 (2016)
50 Danielle A. Rapaccioli, Keeping Shareholder Activism Alive:  A Comparative Approach to Outlawing Dead Hand Proxy Puts in Delaware, 84 Fordham L. Rev. 2947 (2016)
51 David Zaring, Enforcement Discretion at the SEC, 94 Tex. L. Rev. 1155 (2016)
52 William R. Tevlin, The Conscious Parallelism of Wolf Packs:  Applying the Antitrust Conspiracy Framework to Section 13(D) Activism Group Formation, 84 Fordham L. Rev. 2335 (2016)
53 Jay B. Kesten, Shareholder Political Primacy, 10 Va. L. & Bus. Rev. 161 (2016)
54 Urska Velikonja, Reporting Agency Performance:  Behind the SEC’s Enforcement Statistics, 101 Cornell L. Rev. 901 (2016)
55 Barr Benyamin, Katherine Drummons, Donna Farag, and Chumma Tum, Foreign Corrupt Practices Act, 53 Am. Crim. L. Rev. 1333 (2016) (2 citations)
56 Roger M. Groves, A Solution for the Pay for Play Dilemma of College Athletes:  A Novel Compensation Structure Tethered to Amateurism and Education, 17 Tex. Rev. Ent. & Sports L. 101 (2016)
57 Mark Lebovitch and Jeroen Van Kwawegen, Of Babies and Bathwater:  Deterring Frivolous Stockholder Suits without Closing the Courthouse Doors to Legitimate Claims, 40 Del. J. Corp. L. 491 (2016) (4 citations)
58 Kenju Watanabe, Control Transaction Governance:  Collective Action and Asymmetric Information Problems and Ex post Policing, 36 NW. J. Int’l L. & Bus. 45 (2016) (2 citations)
59 Theodore N. Mirvis and William Savitt, The Dangers of Independent Directors, 40 Del. J. Corp. L. 481 (2016) (2 citations)
60 Stephen M. Bainbridge, Fee-Shifting:  Delaware’s Self-Inflicted Wound, 40 Del. J. Corp. L. 851 (2016) (2 citations)
61 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)
62 Ann M. Lipton, Manufactured Consent:  The Problem of Arbitration Clauses in Corporate Charters and Bylaws, 104 Geo. L.J. 583 (2016)
63 Pay Ratio Disclosure:  SEC Finalizes Regulations Requiring Companies to Disclose Pay Ratio Between the CEO and Median Employee, 129 Harv. L. Rev. 1144 (2016)
64 Megan Wischmeier Shaner, Officer Accountability, 32 Ga. St. U.L. Rev. 357 (2016)
65 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)
66 Joel Edan Friedlander, How Rural/Metro Exposed the Systemic Problem of Disclosure Settlements, 40 Del. J. Corp. L. 877 (2016)
67 Sarah M. Gordon, The Foreign Corrupt Practices Act:  Prosecute Corruption and End Transnational Illegal Logging, 43 B.C. Envtl. Aff. L. Rev. 111 (2016)
68 Mike Koehler, A Common Language to Remedy Distorted Foreign Corrupt Practices Act Enforcement Statistics, 68 Rutgers L. Rev. 553 (2016)
69 Vanessa Wong, Halliburton v. Erica John P. Fund, Inc., Fraud-on-the-Market Presumption of Reliance Established; What Now?, 43 Rutgers L. Rec. 148 (2015-2016) (3 citations)
70 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)
71 Alexander I. Platt, SEC Administrative Proceedings:  Backlash and Reform, 71 Bus. Law. 1 (2015-2016)
72 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)
73 Ronald J. Gilson and Alan Schwartz, Corporate Control and Credible Commitment, 43 Int’l Rev. L. & Econ. 119 (2015)
74 Nizan Geslevich Packin, Supersize Them?  Large Banks, Taxpayers and the Subsidies that Lay Between, 35 Nw. Int’l L. Bus. 229 (2015) (2 citations)
75 Claudia H. Allen, Bylaws Mandating Arbitration of Stockholder Disputes?, 39 Del. J. Corp. L. 751 (2015) (2 citations)
76 Mark Mermelstein, The Cybersecurity Playbook:  Building Effective Attack and Breach Preparedness, 2015 WL 5565351 (2015)
77 Edward Greene and Caroline Odorski, SEC Enforcement in the Financial Sector:  Addressing Post-Crisis Criticism, 16 No. 1 Bus. L. Int’l 5 (2015)
78 Seth C. Oranburg, A Little Birdie Said:  How Twitter is Disrupting Shareholder Activism, 20 Fordham J. Corp. & Fin. L. 695 (2015)
79 Jennifer McLellan, An Appraisal of Appraisal Rights in Delaware, 92 Dnv. U. L. Rev. Online 109 (2015)
80 Margaret M. Blair, Boards of Directors as Mediating Hierarchs, 38 Seattle U. L. Rev. 297 (2015)
81 Therese Strand, Short-Termism in the European Union, 22 Colum. J. Eur. L. 15 (2015)
82 Edgardo Rotman, Extraterritorial Criminal Enforcement of Securities Fraud Regulations After United States v. Vilar, 70 U. Miami L. Rev. 53 (2015)
83 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)
84 Robert Hockett, The Macroprudential Turn:  From Institutional ‘Safety and Soundness’ to Systematic ‘Financial Stability’ in Financial Supervision, 9 Va. L. & Bus. Rev. 201 (2015)
85 Alessio M. Pacces and Alessandro Romano, A Strict Liability Regime for Rating Agencies, 52 Am. Bus. L.J. 673 (2015)
86 Stefan J. Padfield, Corporate Social Responsibility & Concession Theory, 6 Wm. & Mary Bus. L. Rev. 1 (2015)
87 Michael J. Goldberg, Democracy in the Private Sector:  The Rights of Shareholders and Union Members, 17 U. Pa. J. Bus. L. 393 (2015)
88 Sarah C. Haan, Voter Primacy, 83 Fordham L. Rev. 2655 (2015)
89 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)
90 Eleanor J. Vincent, The Implications of Oregon’s TriQuint Decision for Enforcing Forum Selection Bylaws, 94 Or. L. Rev. 223 (2015) (11 citations)
91 Bernard S. Sharfman, Activist Hedge Funds in a World of Board Independence:  Creators or Destroyers of Long-Term Value?, 2015 Colum. Bus. L. Rev. 813 (2015) (4 citations)
92 Dale A. Oesterle, Intermediaries in Internet Offerings:  The Future is Here, 50 Wake Forest L. Rev. 533 (2015) (2 citations)
93 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)
94 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)
95 Alicia J. Davis, The Institutional Appetite for “Quack Corporate Governance”, 2015 Colum. Bus. L. Rev. 1 (2015) (2 citations)
96 Joseph W. Yockey, Using Form to Counter Corruption:  The Promise of the Public Benefit Corporation, 49 U.C. Davis L. Rev. 623 (2015)
97 Annual Survey of Judicial Developments Pertaining to Venture Capital, 70 Bus. Law. 1139 (2015)
98 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)
99 Donna I. Dennis, Contrivance and Collusion:  The Corporate Origins of Shareholder Derivative Litigation in the United States, 67 Rutgers U. L. Rev. 1479 (2015)
100 Sharon E. Foster, Too Big to Prosecute:  Collateral Consequences, Systemic Institutions and the Rule of Law, 34 Rev. Banking & Fin. L. 655 (2015)
101 Seth C. Oranburg, Bridgefunding:  Crowdfunding and the Market for Entrepreneurial Finance, 25 Cornell J.L. & Pub. Pol’y 397 (2015)
102 Ferrell, Allen and Andrew Roper, Price Impact, Materiality, and Halliburton II, 93 Wash. U. L. Rev. 553 (2015)
103 Kennan Khatib, The Harms of the Benefit Corporation, 65 Am. U. L. Rev. 151 (2015)
104 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)
105 Giulio Allevato and Carlo Garbarino, The Global Architecture of Financial Regulatory Taxes, 36 Mich. J. Int’l L. 603 (2015)
106 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)
107 Hal Brewster, Alisa Mastro, Elizabeth Sebesky, and Chase Whiting, Foreign Corrupt Practices Act, 52 Am. Crim. L. Rev. 1171 (2 citations)
108 John H. Farrar, The Duties of Controlling Shareholders-Complex Relationships, Legal Confusion and New Approaches, 2015 AJCL LEXIS 7
109 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)
110 Sharon Hannes, Super Hedge Fund, 40 Del. J. Corp. L. 163 (2015) (11 citations)
111 Adam Prestidge, Activist Compensation of Board Nominees and the Middle Ground Response, 11 Hastings Bus. L.J. 307 (2015) (7 citations)
112 Asaf Eckstein, Great Expectations:  The Peril of an Expectations Gap in Proxy Advisory Firm Regulation, 40 De. J. Corp. L. 77 (2015) (5 citations)
113 Ciara Torres-Spelliscy, Corporate Democracy from Say on Pay to Say on Politics, 30 Const. Commentary 431 (2015) (4 citations)
114 Kobi Kastiel, Executive Compensation in Controlled Companies, 90 Ind. L.J. 1131 (2015) (5 citations)
115 Sharon Hannes, Financial Regulation and Comparative Corporate Governance:  Brave New World:  A Proposal for Institutional Investors, 16 Theoretical Inq. L. 245 (2015) (4 citations)
116 Jason E. Siegel, Admit It!  Corporate Admissions of Wrongdoing in SEC Settlements:  Evaluating Collateral Estoppel Effects, 103 Geo. L.J. 433 (2015) (3 citations)
117 Urska Velikonja, Public Compensation for Private Harm:  Evidence from the SEC’s Fair Fund Distributions, 67 Stan. L. Rev. 331 (2015) (2 citations)
118 Ari Dropkin, Skin in the Game:  The Promise of Contingency-Based M&A Fees, 103 Geo. L.J. 1061 (2015) (2 citations)
119 Emily S. May, Bank Directors Beware:  Post-Crisis Bank Director Liability, 19 N.C. Banking Inst. 31 (2015) (2 citations)
120 Steven J. Cleveland, A Failure of Substance and a Failure of Process:  The Circular Odyssey of Oklahoma’s Corporate Law Amendments in 2010, 2012, and 2013, 67 Okla. L. Rev. 221 (2015) (2 citations)
121 Securities Fraud, 52 Am. Crim. L. Rev. 1567 (2015)
122 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)
123 Razeen Sappideen, Corporate Governance in Search of the Shareholder-Manager Balance of Power, 14 Rich. J. Global L. & Bus. 91 (2015)
124 Susan B. Heyman, Rethinking Regulation, Fair Disclosure, and Corporate Free Speech, 36 Cardozo L. Rev. 1099 (2015)
125 Pamela K. Bookman, Litigation Isolationism, 67 Stan. L. Rev. 1081 (2015)
126 City of Providence v. First Citizens BancShares, Inc.:  Delaware Chancery Court Upholds Delaware Corporation’s Bylaw Designating Non-Delaware Exclusive Forum, 128 Harv. L. Rev. 2286 (2015)
127 J.S. Nelson, The Intracorporate Conspiracy Trap, 36 Cardozo L. Rev. 969 (2015)
128 Tamara C. Belinfanti, Contemplating the Gap-Filling Role of Social Intrapreneurship, 94 Or. L. Rev. 67 (2015)
129 Simone M. Sepe and Charles K. Whitehead, Rethinking Chutes:  Incentives, Investment, and Innovation, 95 B.U.L. Rev. 2027 (2015)
130 Kahn v. M&F Worldwide Corp.:  Delaware Supreme Court Endorses Business Judgment Review for Going-Private Mergers with Dual Procedural Protections, 128 Harv. L. Rev. 1818 (2015)
131 Frank Pasquale, Law’s Acceleration of Finance:  Redefining the Problem of High-Frequency Trading, 36 Cardozo L. Rev. 2085 (2015)
132 Thomas Clarke, The Long Road to Reformulating the Understanding of Directors’ Duties:  Legalizing Team Production Theory?, 38 Seattle U. L. Rev. 433 (2015)
133 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)
134 John C. Coates IV, Securities Litigation in the Roberts Court:  An Early Assessment, 57 Ariz. L. Rev. 1 (2015)
135 Chris Brummer, Disruptive Technology and Securities Regulation, 84 Fordham L. Rev. 977 (2015)
136 David Min, Understanding the Failures of Market Discipline, 92 Wash. U. L. Rev. 1421 (2015)
137 Urska Velikonja, Waiving Disqualification:  When Do Securities Violators Receive a Reprieve?, 103 Calif. L. Rev. 1081 (2015)
138 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)
139 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)
140 Hunter Dekoninck, Breaking the Curse:  A Multilayered Regulatory Approach, 22 Ind. J. Global Leg. Stud. 121 (2015)
141 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)
142 Elizabeth Pollman, Team Production Theory and Private Company Boards, 38 Seattle U. L. Rev. 619 (2015)
143 Urska Velikonja, Team Production and Securities Laws, 38 Seattle U. L. Rev. 725 (2015)
144 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)
145 Adam R. Foresman, Once More Unto the [Corporate Data] Breach, Dear Friends, 41 Iowa J. Corp. L. 343 (2015)
146 Sandeep Gopalan and Katherine Watson, An Agency Theoretical Approach to Corporate Board Diversity, 52 San Diego L. Rev. 1 (2015)
147 Robert C. Hockett and Saule T. Omarova, Public Actors in Private Markets:  Toward a Developmental Finance State, 93 Wash. U. L. Rev. 103 (2015)
148 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)
149 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)
150 Janet Austin, Protecting Market Integrity in an Era of Fragmentation and Cross-Border Trading, 46 Ottawa L. Rev. 25 (2014-2015)
151 Anne M. Tucker, The Short Road Home to Delaware:  Boilermakers Local 154 Retirement Fund v. Chevron, 7 J. Bus. Entrepreneurship & L. 467 (2014)
152 Stephen O’Connor, The Securities Act of 1933:  A Jurisdictional Puzzle, 79 Brook. L. Rev. 1233 (2014)
153 Megan Wischmeier Shaner, How “Bad Law, Bad Economics and Bad Policy” Positively Shaped Corporate Behavior, 47 Akron L. Rev. 753 (2014) (2 citations)
154 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
155 Victor P. Goldberg, The Future of Many Contracts, 52 Duq. L. Rev. 323 (2014)
156 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)
157 Amy McIntire, Dodd-Frank’s Risk Retention Requirement:  The Incentive Problem, 33 No. 5 Banking & Fin. Services Pol’y Rep. 5 (2014)
158 S. Ari Mushnell, The Orderly Liquidation Authority:  Friend or Foe?, 131 Banking L.J. 3 (2014)
159 Marcel Kahan and Edward Rock, Symbolic Corporate Governance Politics, 94 B.U. L. Rev. 1997 (2014)
160 Steven J. Brams and Joshua R. Mitts, Mechanism Design in M&A Auctions, 38 Del. J. Corp. L. 873 (2014)
161 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)
162 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)
163 Stacy Goto Grant, International Financial Regulation through the G20:  The Proprietary Trading Case Study, 45 Geo. J. Int’l L. 1217 (2014)
164 Daniel J. Grimm, Traversing the Minefield:  Joint Ventures and the Foreign Corrupt Practices Act, 9 Va. L. & Bus. Rev. 91 (2014)
165 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)
166 Terence J. McCarrick, Jr., Pancho Nagel, Meredith Wood, and Christopher A. Yeager, Securities Fraud, 51 Am. Crim. L. Rev. 1661 (2014) (3 citations)
167 Michele DeStefano, Creating a Culture of Compliance:  Why Departmentalization May Not be the Answer, 10 Hastings Bus. L.J. 71 (2014)
168 Sarah Bartle, Chris Chamberlain, and Brian Wohlberg, Foreign Corrupt Practices Act, 51 Am. Crim. L. Rev. 1265 (2014) (2 citations)
169 Bryce C. Tingle, Bad Company!  The Assumptions behind Proxy Advisors’ Voting Recommendations, 37 Dalhousie L.J. 709 (2014)
170 Stephen M. Bainbridge, Director Versus Shareholder Primacy:  New Zealand and USA Compared, 2014 NZ Law Review 551 (2014)
171 Amanda Carrigan, Australian Corporate CEOs are Less Powerful than They Once Were, 2014 AJCL LEXIS 2 (2014)
172 Alexandros Seretakis, Hedge Fund Activism Coming to Europe:  Lessons from the American Experience, 8 Brook. J. Corp. Fin. & Com. L. 438 (2014) (3 citations)
173 Rwan El-Khatib, Kathy Fogel, and Ciara Torres-Spelliscy, Running the D.C. Circuit Gauntlet on Cost-Benefit Analysis after Citizens United:  Empirical Evidence from Sarbanes-Oxley and the Jobs Act, 9 Duke J. Const. Law & Pub. Pol’y 135 (2014)
174 Todd Blakeley Skelton, 2013 Jobs Act Review & Analysis of Emerging Growth Company IPOs, 15 Transactions 455 (2014) (2 citations)
175 Bernice Grant, Independent Yet Captured:  Compensation Committee Independence after Dodd-Frank, 65 Hastings L.J. 761 (2014) (2 citations)
176 George W. Dent, Jr., A Defense of Proxy Advisors, 2014 Mich. St. L. Rev. 1287 (2014) (2 citations)
177 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)
178 Paul H. Edelman, Randall S. Thomas, and Robert B. Thompson, Shareholder Voting in an Age of Intermediary Capitalism, 87 S. Cal. L. Rev. 1359 (2014)
179 Joseph K. Leahy, Are Corporate Super PAC Contributions Waste or Self-Dealing?  A Closer Look, 79 Mo. L. Rev. 283 (2014)
180 Seth Davis, The False Promise of Fiduciary Government, 89 Notre Dame L. Rev. 1145 (2014)
181 Michael R. Siebecker, Bridging Troubled Waters:  Linking Corporate Efficiency and Political Legitimacy Through a Discourse Theory of the Firm, 75 Ohio St. L.J. 103 (2014)
182 David A. Hyman and William E. Kovacic, Why Who Does What Matters:  Governmental Design and Agency Performance, 82 Geo. Wash. L. Rev. 1446 (2014)
183 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)
184 Michele Gilman, A Court for the One Percent:  How the Supreme Court Contributes to Economic Inequality, 2014 Utah L. Rev. 389 (2014)
185 Adriana Henquen, Supreme Court Considering End to Fraud-on-the-Market Securities Litigation, 33 Rev. Banking & Fin. L. 473 (2014)
186 Stephen Kim Park, Targeted Social Transparency as Global Corporate Strategy, 35 NW. J. Int’l L. & Bus. 87 (2014)
187 Anthony J. Casey, Auction Design for Claims Trading, 22 Am. Bankr. Inst. L. Rev. 133 (2014)
188 Robert T. Miller, The RMBS Put-Back Litigations and the Efficient Allocation of Endogenous Risk Over Time, 34 Rev. Banking & Fin. L. 255 (2014)
189 Michael A. Losco, Streamlining the Corruption Defense:  A Proposed Framework for FCPA-ICSID Interaction, 63 Duke L.J. 1201 (2014)
190 Joseph W. Yockey, Does Social Enterprise Law Matter?, 66 Ala. L. Rev. 767 (2014)
191 Sonia A. Steinway, SEC “Monetary Penalties Speak Very Loudly,” But What Do They Say?  A Critical Analysis of the SEC’s New Enforcement Approach, 124 Yale L.J. 209 (2014)
192 Michael C. Macciarola, Response:  Tilting at Insider Trading Windmills, 163 U. Pa. L. Rev. Online 61 (2014)
193 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)
194 Cort Malmberg and Alison B. Miller, Foreign Corrupt Practices Act, 50 Am. Crim. L. Rev. 1077 (2013)
195 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)
196 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)
197 Jacques F. Baritot, Increasing Protection for Crowdfunding Investors Under the Jobs Act, 13 U.C. Davis Bus. L.J. 259 (2013)
198 M. Todd Henderson, Self-Regulation for the Mortgage Industry, 2013 U. Chi. Legal F. 229 (2013)
199 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)
200 Emeka Duruigbo, Community Equity Participation in African Petroleum Ventures:  Path to Economic Growth?, 35 N.C. Cent. L. Rev. 111 (2013)
201 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)
202 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)
203 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)
204 J. Haskell Murray, Defending Patagonia:  Mergers and Acquisitions with Benefit Corporations, 9 Hastings Bus. L.J. 485 (2013)
205 Joshua Mitts, A Private Ordering Solution to Blockholder Disclosure, 35 N.C. Cent. L. Rev. 203 (2013)
206 Stephen M. Bainbridge, Reforming Libor:  Wheatley versus the Alternatives, 9 N.Y.U. J.L. & Bus. 789 (2013)
207 John S. Beasley II, Randall S. Thomas, and Susan Watson, Should New Zealand Adopt Say on Pay, 19 NZBLQ 111 (2013)
208 Dionysia Katelouzou, Myths and Realities of Hedge Fund Activism:  Some Empirical Evidence, 7 Va. L. & Bus. Rev. 459 (2013)
209 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)
210 Mike Koehler, A Foreign Corrupt Practices Act Narrative, 22 Mich. St. J. Int’l L. 961 (2013)
211 Megan W. Shaner, Revisiting Omnicare:  What Does Its Status 10 Years Later Tell Us?, 38 Iowa J. Corp. L. 865 (2013) (3 citations)
212 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)
213 Elina M. Lae, Board Independence in Light of the Murdoch News Corporation Scandal, 11 DePaul Bus. & Comm. L.J. 169 (2013) (2 citations)
214 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)
215 Edward Greene and Olivia Schmid, Duty-Free Insider Trading?, 2013 Colum. Bus. L. Rev. 369 (2013)
216 Alexandros Seretakis, Taming the Locusts?  Embattled Hedge Funds in the E.U., N.Y.U. J.L. & Bus. 115 (2013) (2 citations)
217 David Millon, Shareholder Social Responsibility, 36 Seattle U. L. Rev. 911 (2013) (2 citations)
218 Douglas M. Branson, Proposals for Corporate Governance Reform:  Six Decades of Ineptitude and Counting, 48 Wake Forest L. Rev. 673 (2013)
219 Dana Brakman Reiser, Theorizing Forms for Social Enterprise, 62 Emory L.J. 681 (2013)
220 Bruce Kraus and Connor Raso, Rational Boundaries for SEC Cost-Benefit Analysis, 30 Yale J. on Reg. 289 (2013)
221 Richard M. Hynes, Taxing Control, 38 Iowa J. Corp. L. 567 (2013)
222 Daniel J. Morrissey, M&A Fiduciary Duties:  Delaware’s Murky Jurisprudence, 58 Vill. L. Rev. 121 (2013)
223 Robert B. Thompson and Donald C. Langevoort, Redrawing the Public-Private Boundaries in Entrepreneurial Capital Raising, 98 Cornell L. Rev. 1573 (2013)
224 Mohsen Manesh, Damning Dictum:  The Default Duty Debate in Delaware, 39 Iowa J. Corp. L. 35 (2013)
225 Paul D. Carrington, Protecting the Right of Citizens to Aggregate Small Claims Against Businesses, 46 U. Mich. J.L. Reform 537 (2013)
226 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)
227 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)
228 Jonathan D. Guynn, The Political Economy of Financial Rulemaking after Business Roundtable, 99 Va. L. Rev. 641 (2013)
229 Jeffrey Bingham, Scaling Chinese Walls:  Insights from Aftra v. JPMorgan Chase, 4 Wm. & Mary Bus. L. Rev. 767 (2013)
230 Myanna Dellinger, Localizing Climate Change Action, 14 Minn. J.L. Sci. & Tech. 603 (2013)
231 Amanda R. Huff, The Volcker Rule:  The Prohibitions, Compliance and the Cost on the Small Bank, 41 W. St. U. L. Rev. 81 (2013)
232 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)
233 Tim Bakken, Dodd-Frank’s Caveat Emptor:  New Criminal Liability for Individuals and Corporations, 48 Wake Forest L. Rev. 1173 (2013)
234 Christina M. Sautter, Auction Theory and Standstills:  Dealing with Friends and Foes in a Sale of Corporate Control, 64 Case W. Res. 521 (2013)
235 Randall S. Thomas, What Should We Do about Multijurisdictional Litigation in M&A Deals?, 66 Vand. L. Rev. 1925 (2013)
236 R. Wai Wong, Through the Antitrust Looking Glass:  A New Vision of Delaware’s Takeover-Defense Jurisprudence, 99 Va. L. Rev. 169 (2013)
237 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)
238 Cory Howard, The Need for Federal Pre-Emption of Executive Compensation Reform:  How Corporate Governance and Economic Justice Objectives are Only Achievable through Comprehensive Federal Regulation of Executive Compensation, 47 Rev. Juridica U. Inter. P.R. 749 (2012-2013)
239 Lyman Johnson, Emerging Issues in Social Enterprise:  Pluralism in Corporate Form:  Corporate Law and Benefit Corps., 25 Regent U.L. Rev. 269 (2012-2013)
240 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)
241 Jan Bissett and Margi Heinen, Are You Occupied by Dodd-Frank?, 91-FEB Mich. B.J. 50 (2012) (3 citations)
242 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)
243 Andrew F. Tuch, Conflicted Gatekeepers:  The Volcker Rule and Goldman Sachs, 7 Va. L. & Bus. Rev. 365 (2012) (2 citations)
244 Mike Davitt, Scott Fletcher, and Tom Jackson, Disturbing Trends in M&A Litigation, 59 The Advoc (Texas) 31 (2012)
245 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)
246 William B. Chandler III, The Delaware Court of Chancery:  An Insider’s View of Change and Continuity, 2012 Colum. Bus. L. Rev. 411 (2012)
247 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)
248 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)
249 Priya Gupta, Freezeouts in Delaware:  An Exploration of the Appropriate Standard of Review, 2012 Colum. Bus. L. Rev. 707 (2012)
250 Greg Jones, Mortgage Lending:  Confusing in Every Language, 24 Loy. Consumer L. Rev. 661 (2012)
251 William Savitt, The Genius of the Modern Chancery System, 2012 Colum. Bus. L. Rev. 570 (2012)
252 Alison K. Gary, Creating a Future Economic Crisis:  Political Failure and the Loopholes of the Volcker Rule, 90 Or. L. Rev. 1339 (2012)
253 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)
254 Aviv Pichhadze, The Securities and Exchange Commission and the Ownership Narrative, 3 Wm. & Mary Pol’y Rev. 295 (2012)
255 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)
256 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)
257 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)
258 James A. Barta and Julia Chapman, Foreign Corrupt Practices Act, 49 Am. Crim. L. Rev. 825 (2012)
259 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)
260 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)
261 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)
262 Christine E. J. Schwöbel, Whither the Private in Global Governance, Int. J. Constitutional Law (2012) 10 (4):  1106
263 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)
264 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)
265 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)
266 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)
267 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)
268 Developments in Banking Law:  VIII.  Potential Solutions to the Housing Crisis, 31 Rev. Banking & Fin. L. 74 (2012)
269 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)
270 Alicia E. Plerhoples, Can an Old Dog Learn New Tricks?  Applying Traditional Corporate Law Principles to New Social Enterprise Legislation, 13 Transactions 221 (2012)
271 Mirela V. Hristova, The Case for Insider-Trading Criminalization and Sentencing Reform, 13 Transactions 267 (2012)
272 Jeff Izant, Mens Rea and the Martin Act:  A Weapon of Choice for Securities Fraud Prosecutions?, 2012 Colum. Bus. L. Rev. 913 (2012)
273 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)
274 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)
275 William A. Birdthistle, The Supreme Court’s Theory of the Fund, 37 Iowa J. Corp. L. 771 (2012)
276 Colin Talia, Janus Capital Group:  How “Making” a Statement Leads to Insulation from Liability, 38 Iowa J. Corp. L. 197 (2012)
277 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)
278 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)
279 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)
280 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)
281 Rachel A. Benedict, Judicial Review of SEC Rules:  Managing the Costs of Cost-Benefit Analysis, 97 Minn. L. Rev. 278 (2012)
282 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)
283 Emeka Duruigbo, Tackling Shareholder Short-Termism and Managerial Myopia, 100 Ky. L.J. 531 (2011-2012) (2 citations)
284 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)
285 Katharine V. Jackson, Towards a Stakeholder-Shareholder Theory of Corporate Governance:  A Comparative Analysis, 7 Hastings Bus. L.J. 309 (2011)
286 John H. Knox, The Unpredictable Presumption Against Extraterritoriality, 40 Sw. L. Rev. 635 (2011)
287 Meny Elgadeh, Morrison v. National Australia Bank:  Life After Dodd-Frank, 16 Fordham J. Corp. & Fin. L. 573 (2011)
288 Robert E. Mensel, Nothings into Something:  Intrinsic Value and Counterfeit Money in Antebellum Law and Culture, 37 Ohio N.U. L. Rev. 111 (2011)
289 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)
290 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)
291 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)
292 Morris A. Karam, The Chrysler Bankruptcy and the Future of 363(B) Transactions, 11 Hous. Bus. & Tax L. J. 395 (2011)
293 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)
294 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)
295 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)
296 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)
297 Corporate Director’s Guidebook–Sixth Edition, 66 Bus. Law. 975 (2011)
298 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
299 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
300 John Ashcroft, Catherine Hanay, and Claudia L. Onate Greim, Whistleblowers Cash in, Unwary Corporations Pay, 40 Hofstra L. Rev. 367 (2011) (3 citations)
301 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)
302 Urska Velikonja, Leverage, Sanctions and Deterrence of Accounting Fraud, 44 U.S. Davis L. Rev. 1281 (2011)
303 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)
304 James D. Dinnage and Omari Scott Simmons, Innkeepers:  A Unifying Theory of the In-House Counsel Role, 41 Seton Hall L. Rev. 77 (2011)
305 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)
306 Brett R. Marshall, Morrison v. National Australia Bank Ltd.:  A Clear Statement Rule or a Confusing Standard, 37 Iowa J. Corp. L. 203 (2011)
307 David Millon, Two Models of Corporate Social Responsibility, 46 Wake Forest L. Rev. 523 (2011)
308 Kara Baquizal, The Extraterritorial Reach of Section 10(B):  Revisiting Morrison in Light of Dodd-Frank, 34 Fordham Int’l L.J. 1544 (2011)
309 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)
310 John Holman, A Flawed Solution:  The Difficulties of Mandating a Leverage Ratio in the United States, 84 S. Cal. L. Rev. 713 (2011)
311 Marcel Kahan and Edward Rock, The Insignificance of Proxy Access, 97 Va. L. Rev. 1347 (2011)
312 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)
313 Christine Hurt, Regulating Compensation, 6 Ohio St. Entrepreneurial Bus. L.J. 21 (2010-2011)
314 Supreme Court to Hear Class Action Waiver Case, 65-OCT Disp. Resol. J. 6 (2010)
315 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)
316 Jennifer G. Hill, Subverting Shareholder Rights:  Lessons from News Corp.’s Migration to Delaware, 63 Vand. L. Rev. 1 (2010) (2 citations)
317 Jill E. Fisch, Securities Intermediaries and the Separation of Ownership from Control, 33 Seattle U. L. Rev. 877 (2010)
318 J. Robert Brown, Jr., Law Faculty Blogs and Disruptive Innovation, 2 J.L:  Periodical Laboratory of Leg. Scholarship 525 (2012) (2 citations)
319 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)
320 Robert T. Miller, The Board’s Duty to Monitor Risk After Citigroup, 12 U. Pa. J. Bus. L. 1153 (2010)
321 John W. Ulhein, Breakdown in the Mortgage Securitization Market:  Multiple Causes and Suggestions for Reform, 60 Syracuse L. Rev. 503 (2010)
322 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)
323 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)
324 George Triantis, The Evolution of Contract Remedies (and Why Do Contracts Professors Teach Remedies First?), 60 U. Toronto L.J. 643 (2010)
325 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)
326 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)
327 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)
328 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)
329 Christine Hurt, The Windfall Myth, 8 Geo. J. L. & Pub. Pol’y 339 (2010)
330 Paul Rose, Common Agency and the Public Corporation, 63 Vand. L. Rev. 1355 (2010)
331 Christopher M. Bruner, Power and Purpose in the “Anglo-American” Corporation, 50 Va. J. Int’l L. 579 (2010)
332 Lucian A. Bebchuk and Scott Hirst, Private Ordering and the Proxy Access Debate, 65 Bus. Law. 329 (2010)
333 Kenneth R. Davis, Taking Stock–Salary and Options Too:  The Looting of Corporate America, 69 Md. L. Rev. 419 (2010)
334 Andrew F. Tuch, Multiple Gatekeepers, 96 Va. L. Rev. 1583 (2010)
335 A. Keay, Getting to Grips with the Shareholder Value Theory in Corporate Law, CLWR 39 4 (358) (2010)
336 Paul Rose, Regulating Risk by “Strengthening Corporate Governance”, 17 Conn. Ins. L.J. 1 (2010) (3 citations)
337 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)
338 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)
339 Claire A. Hill, Justification Norms Under Uncertainty:  A Preliminary Inquiry, 17 Conn. Ins. L.J. 27 (2010)
340 Stefan J. Padfield, Immaterial Lies:  Condoning Deceit in the Name of Securities Regulation, 61 Case W. Res. 143 (2010)
341 Bradley K. Sabel and Gregg L. Rozanksy, Dodd-Frank:  Derivatives as Credit Extensions of Banks, 7 N.Y.U. J.L. & Bus. 175 (2010)
342 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)
343 Elina Khasina, Disclosure of “Beneficial Ownership” of Synthetic Positions in Takeover Campaigns, 2009 Colum. Bus. L. Rev. 904 (2009) (6 citations)
344 Claire Hill and Brett McDonnell, Executive Compensation and the Optimal Penumbra of Delaware Corporation Law, 4 Va. L. & Bus. Rev. 333 (2009 (2 citations)
345 Joseph W. Yockey, On the Role and Regulation of Private Negotiations in Governance, 61 S.C. L. Rev. 171 (2009) (2 citations)
346 Stefan J. Padfield, Finding State Action When Corporations Govern, 82 Temp. L. Rev. 703 (2009) (2 citations)
347 Tyler J. Bexley, Reining in Maverick Traders:  Rule 10B5-2 and Confidentiality Agreements, 88 Tex. L. Rev. 195 (2009)
348 Lisa M. Fairfax, Delaware’s New Proxy Access:  Much Ado about Nothing?, 11 Transactions:  Tenn. J. Bus. L. 87 (2009)
349 Johnny Jaswal and Ed Waitzer, Peoples, BCE, and the Good Corporate “Citizen”, 47 Osgoode Hall L.J. 439 (2009)
350 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)
351 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)
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