| The Anatomy of Securities Class Action in China: A Functional and Comparative Approach With the United States |
2 |
| Quarterly Survey of SEC Rulemaking and Major Appellate Decisions (July 2018-September 2018) |
0 |
| The Securities Law Disclosure Rules of the Road Regarding Executive Illness |
0 |
| I Believe &ITOmnicare&IT Falls Short: An Analysis of the Supreme Court's Latest Attempt to Clarify Opinion-Statement Liability |
0 |
| Quarterly Survey of SEC Rulemaking and Major Appellate Decisions (October 2017-December 2017) |
0 |
| The 1MDB Case Revisited |
0 |
| Tales from the Crypt: The Securities Law Implications of Initial Coin Offerings and a Framework for a Compliant ICO |
0 |
| The SEC Attacks Two Lawyers for Writing Legal Opinions in Facilitation of the Fraudulent Sale of Unregistered Securities-Revisiting the Subject |
0 |
| Navigating the Private Offering Exemptions: A Guide for Practitioners |
0 |
| The Due Diligence Obligation of Securities Broker-Dealer Firms to Prevent the Sale of Unregistered and Non-Exempt Securities Revisited |
0 |
| Quarterly Survey of SEC Rulemaking and Major Appellate Decisions (April 2018-June 2018) |
0 |
| Price Impact & Halliburton II: An Update on Lower Court Interpretation |
0 |
| The Dilemma of In-House Counsel as Whistleblower: When and Where to Blow the Whistle? |
0 |
| A Proposal to End Proposals |
0 |
| Quarterly Survey of SEC Rulemaking and Major Appellate Decisions |
0 |
| Reputation And Securities Fraud Litigation |
0 |
| Update on the 1MDB Scandal |
0 |
| What Is Going On In Denmark? |
0 |
| Reforming Wall Street's Biggest Gravy Train: Making Mutual Funds Fiduciaries For Retirement Savers |
0 |
| Cyan, Reverse-Erie, and the PSLRA Discovery Stay in State Court |
0 |
| Quarterly Survey of SEC Rulemaking and Major Appellate Decisions (October 2018-December 2018) |
0 |
| Is Mandatory Real-Time Disclosure Really Mandatory? A Comparison of Real-Time Disclosure Frameworks and Enforcement |
0 |
| Regulators' Current Focus on AML and Financial Crimes |
0 |
| The Amendments to Regulation D: Making Rule 504 Great Again? |
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| Citing Counsel's Opinion about the Merits of Legal Proceedings in SEC Filings |
0 |
| Some Comments on Enforcement of the Foreign Corrupt Practices Act and the DOJ's Kleptocracy Asset Recovery Initiative |
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| Quarterly Survey of SEC Rulemaking and Major Appellate Decisions (January 2018-March 2018) |
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| Securities and Exchange Commission v. Cuban: A Trial of Insider Trading Marc I. Steinberg, Radford Professor of Law, SMU Dedman School of Law |
0 |
| Quarterly Survey of SEC Rulemaking and Major Appellate Decisions (April 2019-June 2019) |
0 |
| Second Circuit Affirms Lower Court's Class Action Dismissal, Finding No Material Misstatements Concerning Company's Post-Acquisition Plans |
0 |
| What about the Future of European Banks? Board Characteristics and ESG Impact |
0 |
| The Role of Deutsche Bank in The Danske Bank Scandal |
0 |
| How SEC v. Scoville Addresses the Morrison-Dodd-Frank Clash and Creates New Implications in Cross-Border Securities Transactions |
0 |
| Quarterly Survey of SEC Rulemaking and Major Appellate Decisions (July 2019-September 2019) |
0 |
| In Search of Reasonableness: Director & Underwriter Due Diligence in Securities Offerings |
0 |
| Shareholder Activism A La Mode: The Evolving Roles of Institutional Investors in Proxy Fights |
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