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Journal of Corporation Law,
University of Iowa Law School
Volume 35, Number 1
Articles provided by Journal of Corporation Law
Regulating Broker-Dealers and Investment Advisers: Demarcation or Harmonization?
Estimating Financial Fraud Damages with Response Coefficients
Personal Jurisdiction over Foreign Directors in Cross-Border Securities Litigation
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Law Review Articles
Journal of Corporation Law, University of Iowa Law School
Fall 2009, Volume 35 Number 1
Articles provided by Journal of Corporation Law
- Table of Content
- Regulating Broker-Dealers and Investment Advisers: Demarcation or Harmonization?, Elisse B. Walter
- Estimating Financial Fraud Damages with Response Coefficients, Esther Bruegger & Frederick C. Dunbar
- Personal Jurisdiction over Foreign Directors in Cross-Border Securities Litigation, Professor Hannah L. Buxbaum
- Securities Litigation and the Housing Market Downturn, Professor Allen Ferrell & Atanu Saha, Ph.D.
- Distribution of Funds in Class Actions - Claims Administration, Professor Francis E. McGovern
- Judging Admissibility, Professor Michael J. Saks
- Proper Event Study Analysis in Securities Litigation, Professor Frank Torchio
- Reputational Damages in Securities Litigation, Barbara Black
- Compared to What? Econometric Evidence and the Counterfactual Difficulty, Professor Donald C. Langevoort
- Coming to Terms with Loss Causation After Dura: A Response to Professors Partnoy, Ferrell, and Saha, Steven J. Toll, Esq.
- Ratings Recall: Will New Reform Proposals Make Lasting Impact?, Paul J. Justensen
- Direct Harm, Special Injury, or Duty Owed: Which Test Allows for the Most Shareholder Success in Direct Shareholder Litigation?, Elizabeth J. Thompson
Wisconsin Law Review, Volume 2009, Number 2
Articles provided by Wisconsin Law Review
- Basic at Twenty: Rethinking Fraud on the Market
- Counterfactual Keys to Causation and Damages in Shareholder Class-Action Lawsuits
- The "Innocent Shareholder": An Essay on Compensation and Deterrence in Securities Class-Action Lawsuits
- Why Civil Liability for Disclosure Violations When Issuers Do Not Trade?
- Confronting the Circularity Problem in Private Securities Litigation Scheme Liability: Does It Have a Future After Stoneridge?
- Do Differences in Pleading Standards Cause Forum Shopping in Securities Class Actions?: Doctrinal and Empirical Analyses
- A Scotch Verdict on "Circularity" and Other Issues
- Transnational Litigation and Global Securities Class-Action Litigation
- Pleading After Tellabs
- Pleading and the Dilemmas of "General Rules"
Vanderbilt Law Review, March 2008, Volume 61 Number 2
Articles provided by Vanderbilt Law Review
- The Evolving Role of Institutional Investors in Corporate Governance and Corporate Litigation
- On Beyond CalPERS: Survey Evidence on the Developing Role of Public Pension Funds in Corporate Governance
- There Are Plaintiffs and . . . There are Plaintiffs: An Empirical Analysis of Securities Class Action Settlements
- The Forgotten Derivative Suit
- Hands-Off Options
- Proxy Contests in an Era of Increasing Shareholder Power: Forget Issuer Proxy Access and Focus on E-Proxy
- A Fresh Look at Director “Independence”: Mutual Fund Fee Litigation and Gartenberg at Twenty-Five
- The Lead Plaintiff Provisions of the PSLRA After a Decade, or “Look What’s Happened to My Baby”
- Small Claim Mass Fraud Actions: A Proposal for Aggregate Litigation Under RICO
- Are an Empty Head and a Pure Heart Enough? Mens Rea Standards for Judge-Imposed Rule 11 Sanctions and Their Effects on Attorney Action
- Increasing the Effectiveness of the Security Council’s Chapter VII Authority in the Current Situations Before the International Criminal Court
- Why Ratify? Lessons from Treaty Ratification Campaigns
Columbia Law Review, November 2006, Volume 106 Number 7
Articles provided by Columbia Law Review
- PRIVATE SECURITIES LITIGATION REFORM ACT: Securities Litigation and Its Lawyers: Changes During the First Decade After the PSLRA
- PRIVATE SECURITIES LITIGATION REFORM ACT: Reforming The Securities Class Action: An Essay on Deterrence and Its Implementation
- PRIVATE SECURITIES LITIGATION REFORM ACT: Does The Plaintiff Matter? An Empirical Analysis of Lead Plaintiffs in Securities Class Action
- SARBANES-OXLEY ACCOUNTING ISSUES: Cataclysmic Liability Risk Among Big Four Auditors
- SARBANES-OXLEY ACCOUNTING ISSUES: Too Big to Fail: Moral Hazard in Accounting and the Need to Restructure the Industry Before It Unravels
- SARBANES-OXLEY GOVERNANCE ISSUES: The Policy Foundations of Delaware Corporate Law
- SARBANES-OXLEY GOVERNANCE ISSUES: Federal Corporate Law: Lessons from History
- CLASS ACTION FAIRNESS ACT: Settled Expectations in a World of Unsettled Law: Choice of Law After the Class Action Fairness Act
- CLASS ACTION FAIRNESS ACT: Aggregation and Its Discontents: Class Settlement Pressure, Class-Wide Arbitration, and CAFA
- CLASS ACTION FAIRNESS ACT: Aggregation on the Couch: The Strategic Uses of Ambiguity and Hypocrisy
Washington University Law Quarterly , 2005, Volume 83 Number 4
Washington University Law Review
- Do Institutions Matter? The Impact of the Lead Plaintiff Provision of the Private Securities Litigation Reform Act
- Mutual Fund Expense Disclosures: A Behavioral Perspective
- The Scope and Jurisprudence of the Investment Management Regulation
- Private Litigation To Enforce Fiduciary Duties In Mutual Funds: Derivative Suits, Disinterested Directors and The Ideology Of Investor Sovereignty
- Enhanced Corporate Governance For Mutual Funds: A Flawed Concept That Deserves Serious Reconsideration
- Comments on Martin Lybecker's Enhanced Corporate Governance
- Common Themes and Unintended Consequences In Class Action Reform
- Should Investment Companies Be Subject To A New Statutory Self-Regulatory Organization?
- Class Actions and Limited Vision: Opportunities For Improvement Through A More Functional Approach To Class Treatment of Disputes
- Health Care For Undocumented Immigrant Children: Special Members of an Underclass
- Looks Sell, But Are They Worth The Cost?: How Tolerating Looks-Based Discrimination Leads to Intolerable Discrimination
- "Banking" On Law Enforcement: Advocating A New Balancing Test for DNA Storage After United States v. Kincade
- Injecting Fairness Into The Doctrine Of Forfeiture By Wrongdoing
Vanderbilt Law Review, October 2004, Volume 57 Number 5
Articles provided by HeinOnline.org
- Table of Contents
- The Evidence on Securities Class Actions
- The Role of Opt-Outs and Objectors in Class Action Litigation: Theoretical and Empirical Issues
- The Inevitability of Aggregate Settlement: An Institutional Account of American Tort Law
- The Muddled Duty to Disclose Under Rule 10b-5
- Taking Adequacy Seriously: The Inadequate Assessment of Adequacy in Litigation and Settlement Classes
- The Public and Private Faces of Derivative Lawsuits
- File Early, Then Free Ride: How Delaware Law (Mis)Shapes Shareholder Class Actions
- Growing Pains: The Scope of Substantive Due Process Rights of Parents of Adult Children
- Mid-Decade Congressional Redistricting In a Red and Blue Nation