Corporations & Securities 2014 January 3, 2014 1. Barry, Jordan M., John William Hatfield and Scott Duke Kominers. On derivatives markets and social welfare: a theory of empty voting and hidden ownership. 99 Va. L. Rev. 1103-1167 (2013). 2. Petrin, Martin. Reconceptualizing the theory of the firm--from nature to function. 118 Penn St. L. Rev. 1-53 (2013). 3. Roe, Mark J. Breaking bankruptcy priority: how rent-seeking upends the creditors' bargain. 99 Va. L. Rev. 1235-1290 (2013). 4. Spiro, Peter J. Constraining global corporate power: a short introduction. 46 Vand. J. Transnat'l L. 1101-1118 (2013). 5. Tiedemann, Klaus. Business-related criminal law in Europe: a critical inventory. [Translation by Edgardo Rotman.] 20 U. Miami Int'l & Comp. L. Rev. 135-162 (2013). 6. Kaal, Wulf A. Hedge fund manager registration under the Dodd-Frank Act. 50 San Diego L. Rev. 243-322 (2013). 7. Risch, Michael. Patent portfolios as securities. 63 Duke L.J. 89-154 (2013). January 10, 2014 8. Markham, Jesse W., Jr. The failure of corporate governance standards and antitrust compliance. 58 S.D. L. Rev. 499-542 (2013). 9. Morse, Susan C. Startup Ltd.: tax planning and initial incorporation location. 14 Fla. Tax Rev. 319-360 (2013). 10. Roen, Craig M. and Catherine O'Connor. Don't forget to remember everything: the trouble with Rule 30(b)(6) depositions. 45 U. Tol. L. Rev. 29-56 (2013). 11. Ventoruzzo, Marco. Issuing new shares and preemptive rights: a comparative analysis. 12 Rich. J. Global L. & Bus. 517-542 (2013). January 17, 2014 12. Backer, Larry Cata. Transnational corporations' outward expression of inward selfconstitution: the enforcement of human rights by Apple, Inc. 20 Ind. J. Global Legal Stud. 805879 (2013). 13. Bruckner, Matthew. The virtue in bankruptcy. 45 Loy. U. Chi. L.J. 233-285 (2013). 14. Loewenstein, Mark J. Benefit corporations: a challenge in corporate governance. 68 Bus. Law. 1007-1038 (2013). 1 15. Plerhoples, Alicia E. Representing social enterprise. 20 Clinical L. Rev. 215-265 (2013). 16. Renner, Moritz. Occupy the system! Societal constitutionalism and transnational corporate accounting. 20 Ind. J. Global Legal Stud. 941-964 (2013). 17. Roe, Mark J. Corporate short-termism--in the boardroom and in the courtroom. 68 Bus. Law. 977-1006 (2013). 18. Teubner, Gunther and Anna Beckers. Expanding constitutionalism. 20 Ind. J. Global Legal Stud. 523-550 (2013). 19. Allen, Hilary J. A new philosophy for financial stability regulation. 45 Loy. U. Chi. L.J. 173231 (2013). January 24, 2014 20. Gevurtz, Franklin A. Removing Revlon. 70 Wash. & Lee L. Rev. 1485-1571 (2013). 21. Brunson, Samuel D. Mutual funds, fairness, and the income gap. 65 Ala. L. Rev. 139-185 (2013). 22. Schwarcz, Steven L. Regulating shadows: financial regulation and responsibility failure. 70 Wash. & Lee L. Rev. 1781-1825 (2013). January 31, 2014 23. Alces, Kelli A. Legal diversification. 113 Colum. L. Rev. 1977-2038 (2013). 24. Grossman, Nadelle. Out of the shadows: requiring strategic management disclosure. 116 W. Va. L. Rev. 197-254 (2013). 25. Willis, Steven J. Corporations, taxes, and religion: the Hobby Lobby and Conestoga contraceptive cases. 65 S.C. L. Rev. 1-79 (2013). 26. Johnson, Lyman. Unsettledness in Delaware corporate law: business judgment rule, corporate purpose. 38 Del. J. Corp. L. 405-451 (2013). 27. Hamermesh, Lawrence A. and student Peter I. Tsoflias. An introduction to the Federalist Society's panelist discussion titled "Deregulating the Markets: The JOBS Act." 38 Del. J. Corp. L. 453-475 (2013). 28. Booth, Richard A. The two faces of materiality. 38 Del. J. Corp. L. 517-570 (2013). 29. CdeBaca, Luis. Keynote address. 30 T.M. Cooley L. Rev. 1-12 (2013). 30. Staff of the Michigan Department of Attorney General. Eroding freedom's foundation: human trafficking and the threat to American principle. 30 T.M. Cooley L. Rev. 13-25 (2013). 2 31. Johnson, E. Christopher, Jr. The corporate lawyer, human trafficking, and child labor: who's in your supply chain? 30 T.M. Cooley L. Rev. 27-37 (2013). 32. Marcum, Tanya M. and Catherine Davies Hoort. Alert: be on the lookout for protection orders in the educational setting. 30 T.M. Cooley L. Rev. 39-58 (2013). February 7, 2014 33. Callison, J. William. Benefit corporations, innovation, and statutory design. 26 Regent U. L. Rev. 143-165 (2013-2014). 34. Hines, Christopher T. The corporate gatekeeper in ethical perspective. 78 Mo. L. Rev. 77131 (2013). 35. McConnell, Michael W. Reconsidering Citizens United as a Press Clause case. 123 Yale L.J. 412-458 (2013). 36. Schwartz, Andrew A. The corporate preference for trade secret. 74 Ohio St. L.J. 623-668 (2013). 37. Velasco, Julian. Fiduciary duties and fiduciary outs. 21 Geo. Mason L. Rev. 157-216 (2013). 38. Winkler, Matteo M. What remains of the Alien Tort Statute after Kiobel? 39 N.C. J. Int'l L. & Com. Reg. 171-190 (2013). 39. Burge, Jason W. and Lara K. Richards. Defining "customer": a survey of who can demand FINRA arbitration. 74 La. L. Rev. 173-211 (2013). 40. Georgakopoulos, Nicholas L. The Ralston-Landreth-Gustafson harmony: a security! 41 Cap. U. L. Rev. 553-602 (2013). 41. Kibbie, Kelly S. The currently mandated myopia of Rule 10b-5: pay no attention to that manager behind the mutual fund curtain. 78 Mo. L. Rev. 171-241 (2013). February 14, 2014 42. Bohren, Oyvind and Nils Erik Krosvik. The economics of minority freezeouts: evidence from the courtroom. 36 Int'l Rev. L. & Econ. 48-58 (2013). 43. Outenreath, Alyson. "Uncharitable" policy for charities: use of disregarded LLCs by I.R.C. Section 501(c)(3) organizations is a trap for the unwary in certain states. 54 S. Tex. L. Rev. 685745 (2013). 44. Packalen, Mikko and Anindya Sen. Static and dynamic merger effects: a market share based empirical analysis. 36 Int'l Rev. L. & Econ. 12-24 (2013). 45. Pearce, John A. II and Jamie Patrick Hopkins. Regulation of L3Cs for social entrepreneurship: a prerequisite to increased utilization. 92 Neb. L. Rev. 259-288 (2013). 3 46. Sklar, Stanley. Arbitration advocacy: its role in business and legal education, and new options for dispute resolution. 11 DePaul Bus. & Com. L.J. 441-453 (2013). 47. Lurie, Paul M. Guided choice arbitration. 11 DePaul Bus. & Com. L.J. 455-469 (2013). 48. Martin, Christopher. Costs of arbitration and the options for controlling those costs. 11 DePaul Bus. & Com. L.J. 471-481 (2013). 49. Varallo, Gregory and John Mark Zeberkiewicz. Delaware private arbitration: an explanation of Delaware's Chancery arbitration program and its benefits. 11 DePaul Bus. & Com. L.J. 483517 (2013). 50. Wiltz, Van S. Will the JOBS Act jump-start the video game industry? Crowdfunding start-up capital. 16 Tul. J. Tech. & Intell. Prop. 141-183 (2013). February 21, 2014 51. Buell, Samuel W. Is the white collar offender privileged? 63 Duke L.J. 823-889 (2014). 52. Desai, Deven R. Speech, citizenry, and the market: a corporate public figure doctrine. 98 Minn. L. Rev. 455-510 (2013). 53. Kang, Michael S. The year of the Super PAC. 81 Geo. Wash. L. Rev. 1902-1927 (2013). 54. Krug, Anita K. Escaping entity-centrism in financial services regulation. 113 Colum. L. Rev. 2039-2115 (2013). 55. Slawotsky, Joel. ATS liability for rogue banking in a post-Kiobel world. 37 Hastings Int'l & Comp. L. Rev. 121-158 (2014). 56. Thomas, Randall S. What should we do about multijurisdictional litigation in M&A deals? 66 Vand. L. Rev. 1925-1960 (2013). 57. Seretakis, Alexandros. Hostile takeovers and defense mechanisms in the United Kingdom and the United States: a case against the United States regime. 8 Entrepren. Bus. L.J. 245-279 (2013). 58. Stemler, Abbey and Anjanette H. Raymond. Promoting investment in agricultural production: increasing legal tools for small to medium farmers. 8 Entrepren. Bus. L.J. 281-326 (2013). 59. Taylor, Willard. Does one size fit all? Should there be a single set of federal income tax rules for S corporations and partnerships? 8 Entrepren. Bus. L.J. 327-353 (2013). 60. Campbell, Patricia E. Coping with the America Invents Act: patent challenges for startup companies. 8 Entrepren. Bus. L.J. 355-377 (2013). 61. Thompson, Dana. Accelerating the growth of the next generation of innovators. 8 Entrepren. Bus. L.J. 379-391 (2013). 4 62. Ahdieh, Robert B. Reanalyzing cost-benefit analysis: toward a framework of function(s) and form(s). 88 N.Y.U. L. Rev. 1983-2073 (2013). 63. Abramowicz, Michael and Omer Alper. Screening legal claims based on third-party litigation finance agreements and other signals of quality. 66 Vand. L. Rev. 1641-1676 (2013). 64. Baker, Lynn A., Michael A. Perino and Charles Silver. Setting attorneys' fees in securities class actions: an empirical assessment. 66 Vand. L. Rev. 1677-1718 (2013). 65. Cox, James D. Understanding causation in private securities lawsuits: building on Amgen. 66 Vand. L. Rev. 1719-1753 (2013). 66. Goldberg, John C.P. and Benjamin C. Zipursky. The fraud-on-the-market tort. 66 Vand. L. Rev. 1755-1805 (2013). 67. Molot, Jonathan T. Fee shifting and the free market. 66 Vand. L. Rev. 1807-1829 (2013). 68. Sebok, Anthony J. and W. Bradley Wendel. Duty in the litigation-investment agreement: the choice between tort and contract norms when the deal breaks down. 66 Vand. L. Rev. 1831-1887 (2013). 69. Steinitz, Maya. How much is that lawsuit in the window? Pricing legal claims. 66 Vand. L. Rev. 1889-1924 (2013). February 28, 2014 70. Gurkaynak, Gonenc and Derya Durlu. Harmonizing the shield to corporate liability: a comparative approach to the legal foundations of corporate compliance programs from criminal law, employment law, and competition law perspectives. 47 Int'l Law. 99-121 (2013). 71. Kupenda, Angela Mae. Using feathery birds to disguise hateful speech: Avatar, Hillary: The Movie, Citizens United, and how birds of the same feather flock together. 49 Gonz. L. Rev. 1-21 (2013/14). 72. McKenzie, John F. Foreign Corrupt Practices Act compliance issues for import/export operations. 47 Int'l Law. 43-64 (2013). March 7, 2014 73. Chumney, Wade M., David L. Baumer and Roby B. Sawyers. The dance continues: states and multi-state corporations dance in and out of real space and cyberspace. 16 SMU Sci. & Tech. L. Rev. 439-452 (2013). 74. Fan, Joseph P.H., T.J. Wong and Tianyu Zhang. Institutions and organizational structure: the case of state-owned corporate pyramids. 29 J.L. Econ. & Org. 1217-1252 (2013). 5 75. Muravyev, Alexander. Investor protection and the value of shares: evidence from statutory rules governing variations of shareholders' class rights in an emerging market. 29 J.L. Econ. & Org. 1344-1383 (2013). 76. Padfield, Stefan J. Rehabilitating concession theory. 66 Okla. L. Rev. 327-361 (2014). 77. Nagy, Donna M. Owning stock while making law: an agency problem and a fiduciary solution. 48 Wake Forest L. Rev. 567-623 (2013). 78. Rosen, Kenneth M. Financial intermediaries as principals and agents. 48 Wake Forest L. Rev. 625-642 (2013). 79. Oquendo, Angel R. Six degrees of separation: from derivative suits to shareholder class actions. 48 Wake Forest L. Rev. 643-672 (2013). 80. Branson, Douglas M. Proposals for corporate governance reform: six decades of ineptitude and counting. 48 Wake Forest L. Rev. 673-696 (2013). 81. Nash, Robert and Ajay Patel. The impact of national culture on corporate financial decisions. 48 Wake Forest L. Rev. 697-720 (2013). 82. Elson, Charles M. and Craig K. Ferrere. Surplus, agency theory, and the Hobbesian corporation. 48 Wake Forest L. Rev. 721-744 (2013). 83. Barnard, Jayne W. Shirking, opportunism, self-delusion and more: the agency problem lives on. 48 Wake Forest L. Rev. 745-770 (2013). 84. Black, Barbara. Curbing broker-dealers' abusive sales practices: does Professor Jensen's integrity framework offer a better approach? 48 Wake Forest L. Rev. 771-790 (2013). 85. Kaal, Wulf A. Dynamic regulation of the financial services industry. 48 Wake Forest L. Rev. 791-828 (2013). March 14, 2014 86. Galle, Brian. Social enterprise: who needs it? 54 B.C. L. Rev. 2025-2045 (2013). 87. Korsmo, Charles R. Venture capital and preferred stock. 78 Brook. L. Rev. 1163-1230 (2013). 88. Riza, Limor. Should tax law mind minority and monitor majority: the case of undistributed dividends and the ability-to-pay principle. 13 Hous. Bus. & Tax L.J. 86-127 (2013). 89. Fanto, James A. Advising compliance in financial firms: a new mission for the legal academy. 8 Brook. J. Corp. Fin. & Com. L. 1-22 (2013). 90. Black, Barbara. Punishing bad brokers: self-regulation and FINRA sanctions. 8 Brook. J. Corp. Fin. & Com. L. 23-55 (2013). 6 91. DeMott, Deborah A. The crucial but (potentially) precarious position of the chief compliance officer. 8 Brook. J. Corp. Fin. & Com. L. 56-79 (2013). 92. Frankel, Tamar. Self-regulation of insider-trading in mutual funds and advisers. 8 Brook. J. Corp. Fin. & Com. L. 80-91 (2013). 93. Markham, Jerry W. Custodial requirements for customer funds. 8 Brook. J. Corp. Fin. & Com. L. 92-133 (2013). 94. Strine, Leo E., Jr., Lawrence A. Hamermesh and Matthew C. Jennejohn. Putting stockholders first, not the first-filed complaint. 69 Bus. Law. 1-78 (2013). 95. Pfister, Todd B. and Aubrey Refuerzo. New NYSE and NASDAQ listing rules raise the accountability of company boards and compensation committees through flexible standards. 69 Bus. Law. 135-154 (2013). 96. Dearlove, Catherine G. and A. Jacob Werrett. Proxy access by private ordering: a review of the 2012 and 2013 proxy seasons. 69 Bus. Law. 155-182 (2013). 97. Horton, Brent J. Toward a more perfect substitute: how pressure on the issuers of privatelabel mortgage-backed securities can improve the accuracy of ratings. 93 B.U. L. Rev. 19051970 (2013). March 21, 2014 98. Barzuza, Michal. Noise adopters in corporate governance. 2013 Colum. Bus. L. Rev. 627666. 99. Rosenberg, Gabriel D. and Jai R. Massari. Regulation through substitution as policy tool: swap futurization under Dodd-Frank. 2013 Colum. Bus. L. Rev. 667-742. 100. Lin, Li-Wen. State ownership and corporate governance in China: an executive career approach. 2013 Colum. Bus. L. Rev. 743-800. 101. Gerhardt, Michael J. On candor, Free Enterprise Fund, and the theory of the unitary executive. 22 Wm. & Mary Bill Rts. J. 337-350 (2013). March 28, 2014 102. Bentzen, Sheila A. The de facto merger doctrine revisited. 62 Drake L. Rev. 91-127 (2013). 103. Bruner, Christopher M. Is the corporate director's duty of care a "fiduciary" duty? Does it matter? 48 Wake Forest L. Rev. 1027-1054 (2013). 104. Cassin, Shaun. The best offense is a good defense: how the adoption of an FCPA compliance defense could decrease foreign bribery. 36 Hous. J. Int'l L. 19-57 (2014). 7 105. Guillen, Ramon, Jr. and student Tasha M. de Miguel. Applauding the entrepreneurial spirit: Florida welcomes veteran-owned small businesses. 37 Nova L. Rev. 579-615 (2013). 106. Ohlrogge, Michael. How statistical sampling can solve the conundrum of compensation disclosures under Dodd-Frank. 31 J.L. & Com. 109-133 (2012-2013). 107. Pargendler, Mariana, Aldo Musacchio and Sergio G. Lazzarini. In strange company: the puzzle of private investment in state-controlled firms. 46 Cornell Int'l L.J. 569-610 (2013). 108. Schaller, William Lynch. The origin and evolution of the third party "refusal to deal" defense in Illinois corporate opportunity cases. 46 J. Marshall L. Rev. 937-1037 (2013). 109. Feerick, John D. A new model of corporate social responsibility in the 21st century. 25 Fordham Envtl. L. Rev. 1-9 (2013). 110. Abate, Randall S. Corporate responsibility and climate justice: a proposal for a polluterfinanced relocation fund for federally recognized tribes imperiled by climate change. 25 Fordham Envtl. L. Rev. 10-45 (2013). 111. Williams, Cynthia A. and John M. Conley. Trends in the social [ir]responsibility of American multinational corporations: increased power, diminished accountability? 25 Fordham Envtl. L. Rev. 46-83 (2013). 112. Ferrey, Steven. Corporate energy responsibility: international and domestic perspectives on supply and demand in the new millennium. 25 Fordham Envtl. L. Rev. 84-140 (2013). 113. Spence, David B. Responsible shale gas production: moral outrage vs. cool analysis. 25 Fordham Envtl. L. Rev. 141-190 (2013). 114. Zhang, Min and Xiaoyu Liang. Advances among debates: research on and practice of corporate social responsibility from the legal perspective in China. 25 Fordham Envtl. L. Rev. 191-250 (2013). April 4, 2014 115. Kelly, Michael J. "Never again"? German chemical corporation complicity in the Kurdish genocide. 31 Berkeley J. Int'l L. 348-391 (2013). 116. Kwak, James. Corporate law constraints on political spending. 18 N.C. Bank. Inst. 251295 (2013). 117. Schneiberg, Marc. Organizational diversity and regulatory strategy in financial markets: possibilities for upgrading and reform. 18 N.C. Bank. Inst. 141-166 (2013). 118. Vidal-Leon, Christian. Corporate social responsibility, human rights, and the World Trade Organization. 16 J. Int'l Econ. L. 893-920 (2013). 8 119. Johnson, Simon. Keynote address: the continuing problem of "too big to fail." 18 N.C. Bank. Inst. 1-15 (2013). 120. Barkow, Rachel E. Explaining and curbing capture. 18 N.C. Bank. Inst. 17-25 (2013). 121. Ford, Christie. Financial innovation and flexible regulation: destabilizing the regulatory state. 18 N.C. Bank. Inst. 27-38 (2013). 122. Caprio, Gerard. Regulatory capture: why it occurs, how to minimize it. 18 N.C. Bank. Inst. 39-50 (2013). 123. Jenkins, Robert. A debate framed by fallacies. 18 N.C. Bank. Inst. 51-56 (2013). 124. Noah, Tim. Income inequality: panel on financialization, economic opportunity, and the future of American democracy. 18 N.C. Bank. Inst. 57-64 (2013). 125. Sporkin, Judge Stanley. The SEC can no longer regulate from behind. 18 N.C. Bank. Inst. 65-69 (2013). 126. Admati, Anat. Financial regulation reform: politics, implementation, and alternatives. 18 N.C. Bank. Inst. 71-81 (2013). 127. Waldman, Michael. Political accountability, campaign finance, and regulatory reform. 18 N.C. Bank. Inst. 83-90 (2013). 128. Baxter, Lawrence G. Gotterdammerung. 18 N.C. Bank. Inst. 91-103 (2013). 129. Cox, James D. Headwinds confronting the SEC. 18 N.C. Bank. Inst. 105-112 (2013). 130. Partnoy, Frank. The right way to regulate from behind. 18 N.C. Bank. Inst. 113-121 (2013). 131. McDonnell, Brett H. Designing countercyclical capital buffers. 18 N.C. Bank. Inst. 123-139 (2013). 132. Tomaskovic-Devey, Donald and Ken-Hou Lin. Financialization: causes, inequality consequences, and policy implications. 18 N.C. Bank. Inst. 167-194 (2013). 133. Carpenter, Daniel and Patricia A. McCoy. Keeping tabs on financial innovation: product identifiers in consumer financial regulation. 18 N.C. Bank. Inst. 195-225 (2013). 134. Taylor, Michael W. Regulatory reform in the U.K. 18 N.C. Bank. Inst. 227-250 (2013). April 11, 2014 135. Hansmann, Henry and Mariana Pargendler. The evolution of shareholder voting rights: separation of ownership and consumption. 123 Yale L.J. 948-1013 (2014). 9 136. Jacoby, Melissa B. and Edward J. Janger. Ice cube bonds: allocating the price of process in Chapter 11 bankruptcy. 123 Yale L.J. 862-947 (2014). 137. Porter, Nicole Buonocore. A proposal to improve the workplace law curriculum from a corporate compliance perspective. 58 St. Louis U. L.J. 155-207 (2013) 138. Smith, Richard C. Combating FCPA charges: is resistance futile? 54 Va. J. Int'l L. 157171 (2013). 139. Vischer, Robert K. Do for-profit businesses have free exercise rights? 21 J. Contemp. Legal Issues 369-399 (2013). 140. Fairfax, Lisa M. Managing expectations: does the directors' duty to monitor promise more than it can deliver? 10 U. St. Thomas L.J. 416-448 (2012). 141. McDonnell, Brett H. Meeting lowered expectations. 10 U. St. Thomas L.J. 449-459 (2012). 142. Kaal, Wulf A. A comparative perspective on the limitations of the duty of oversight -- a comment on Lisa Fairfax. 10 U. St. Thomas L.J. 460-468 (2012). 143. Korsmo, Charles R. High-frequency trading: a regulatory strategy. 48 U. Rich. L. Rev. 523-609 (2014). 144. O'Hare, Jennifer. Synthetic CDOs, conflicts of interest, and securities fraud. 48 U. Rich. L. Rev. 667-731 (2014). 145. Park, Junsun. Global expansion of national securities laws: extraterritoriality and jurisdictional conflicts. 12 U.N.H. L. Rev. 69-84 (2014). 146. Steckman, Laurence A., Robert E. Conner and Stuart J. Rosenthal. Market impact, loss causation and multiple regression modeling--the importance of modular theories of damage causation in antitrust class certification motion practice after Comcast v. Behrend. [Reprint from 35 Sec. Ref. Act. Litig. Rep. 18, 2013.] 30 Touro L. Rev. 127-151 (2014). 147. Tafara, Ethiopis. The man who shot Liberty Valance: the future of financial regulation. 54 Va. J. Int'l L. 1-8 (2013). 148. Rauterberg, Gabriel V. and Andrew Verstein. Assessing transnational private regulation of the OTC derivatives market: ISDA, the BBA, and the future of financial reform. 54 Va. J. Int'l L. 9-50 (2013). 149. Weidemaier, W. Mark C. and Mitu Gulati. A people's history of collective action clauses. 54 Va. J. Int'l L. 51-95 (2013). 150. Sarfaty, Galit A. Human rights meets securities regulation. 54 Va. J. Int'l L. 97-126 (2013). 10 151. Nichols, Philip M. Are facilitating payments legal? 54 Va. J. Int'l L. 127-155 (2013). April 18, 2014 152. Buckles, Johnny Rex. How deep are the springs of obedience norms that bind the overseers of charities. 62 Cath. U. L. Rev. 913-964 (2013). 153. Harris, Lee. CEO retention. 65 Fla. L. Rev. 1753-1802 (2013). 154. Ho, Virginia Harper. Of enterprise principles and corporate groups: does corporate law reach human rights? 52 Colum. J. Transnat'l L. 113-172 (2013). April 25, 2014 155. Bakken, Tim. Dodd-Frank's caveat emptor: new criminal liability for individuals and corporations. 48 Wake Forest L. Rev. 1173-1203 (2013). 156. Bodie, Matthew T. Participation as a theory of employment. 89 Notre Dame L. Rev. 661-726 (2013). 157. Dammann, Jens. The mandatory law puzzle: redefining American exceptionalism in corporate law. 65 Hastings L.J. 441-499 (2014). 158. Foley, Stephen P. Something not so simple: sale of S corporation stock or assets for contingent payment obligations. 67 Tax Law. 89-141 (2013). 159. Sokol, D. Daniel. Policing the firm. 89 Notre Dame L. Rev. 785-848 (2013). 160. Stephens, Beth. Are corporations people? Corporate personhood under the Constitution and international law: an essay in honor of Professor Roger S. Clark. 44 Rutgers L.J. 1-38 (2013). 161. Tyler, John. Analyzing effects and implications of regulating charitable hybrid forms as charitable trusts: round peg and a square hole? 9 N.Y.U. J.L. & Bus. 535-586 (2013). 162. Hochberg, Jeffrey D. and Michael Ochowski. What looks the same may not be the same: the tax treatment of securities reopenings. 67 Tax Law. 143-186 (2013). May 2, 2014 163. Ahmad, Nadia B. The tropics exploited: risk preparedness and corporate social responsibility in offshore energy development. 1 Tex. A&M L. Rev 335-359 (2013). 164. Winton, James C. Corporate representative depositions revisited. 65 Baylor L. Rev. 938-1033 (2013). 165. Bainbridge, Stephen M. Reforming LIBOR: Wheatley versus the alternatives. 9 N.Y.U. J.L. & Bus. 789-849 (2013). 11 166. Chang, Felix B. Death to credit as leverage: using the Bank Anti-Tying Provision to curb financial risk. 9 N.Y.U. J.L. & Bus. 851-916 (2013). 167. Hanefeld, Inka. Arbitration in banking and finance. 9 N.Y.U. J.L. & Bus. 917-939 (2013). 168. Mocsary, George A. Statistically insignificant deaths: disclosing drug harms to investors (and patients) under SEC Rule 10b-5. 82 Geo. Wash. L. Rev. 111-173 (2013). 169. Wroldsen, John S. The Crowdfund Act's strange bedfellows: democracy and start-up company investing. 62 U. Kan. L. Rev. 357-401 (2013). May 9, 2014 170. Bilsky, Leora, Rodger D. Citron and Natalie R. Davidson. From Kiobel back to structural reform: the hidden legacy of Holocaust restitution litigation. 2 Stanford J. Complex Litig. 139-184 (2014). 171. Mayer, Lloyd Hitoshi and Joseph R. Ganahl. Taxing social enterprise. 66 Stan. L. Rev. 387-442 (2014). 172. Outenreath, Alyson. Taxation of series LLCs in Texas: bigger isn't always better in the Lone Star State. 45 St. Mary's L.J. 183-243 (2014). 173. Robertson, Cassandra Burke. Private ordering in the market for professional services. 94 B.U. L. Rev. 179-234 (2014). 174. Hasnas, John. A context for evaluating Department of Justice policy on the prosecution of business organizations: is the Department of Justice playing in the right ballpark? 51 Am. Crim. L. Rev. 7-27 (2014). 175. O'Sullivan, Julie R. How prosecutors apply the "Federal Prosecutions of Corporations" Charging Policy in the era of deferred prosecutions, and what that means for the purposes of the federal criminal sanction. 51 Am. Crim. L. Rev. 29-77 (2014). 176. Greenberg, Joshua D. and Ellen C. Brotman. Strict vicarious criminal liability for corporations and corporate executives: stretching the boundaries of criminalization. 51 Am. Crim. L. Rev. 79-97 (2014). 177. Schwartz, Irwin. Toward improving the law and policy of corporate criminal liability and sanctions. 51 Am. Crim. L. Rev. 99-119 (2014). 178. Pollack, Barry J. and Annie Wartanian Reisinger. Lone wolf or the start of a new pack: should the FCPA guidance represent a new paradigm in evaluating corporate criminal liability risks? 51 Am. Crim. L. Rev. 121-150 (2014). 12 179. Sprinzen, Nicole H. Asadi v. GE Energy (USA) L.L.C.: a case study of the limits of Dodd-Frank anti-retaliation protections and the impact on corporate compliance objectives. 51 Am. Crim. L. Rev. 151-198 (2014). 180. Thompson, Larry D. In-sourcing corporate responsibility for enforcement of the Foreign Corrupt Practices Act. 51 Am. Crim. L. Rev. 199-224 (2014). 181. Bies, Robert J. Reducing criminal wrongdoing within business organizations: the practical and political skills of integrity. 51 Am. Crim. L. Rev. 225-243 (2014). 182. Reynolds, Scott J. The non-conscious aspects of ethical behavior: not everything in the "good" organization is deliberate and intentional. 51 Am. Crim. L. Rev. 245-266 (2014). 183. Tyler, Tom R. Reducing corporate criminality: the role of values. 51 Am. Crim. L. 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Navigating the stormy skies: Blue Sky statutes & conflict of laws. 2 Stanford J. Complex Litig. 97-138 (2014). May 16, 2014 192. Rodoni, Ryan. The new First Amendment: allowing unlimited corporate election speech free from response. 34 U. Haw. L. Rev. 263-307 (2012). 193. Sepe, Simone M. Intruders in the boardroom: the case of constituency directors. 91 Wash. U. L. Rev. 309-378 (2013). 194. Bank, Steven A. Taxing bigness. 66 Tax L. Rev. 379-418 (2013). 13 195. Clausing, Kimberly A. The future of the corporate tax. 66 Tax L. Rev. 419-443 (2013). 196. Cunningham, Noel B. and Mitchell L. Engler. Prescription for corporate income tax reform: a corporate consumption tax. 66 Tax L. Rev. 445-485 (2013). 197. Fisch, Jill E. and Tess Wilkinson-Ryan. Why do retail investors make costly mistakes? An experiment on mutual fund choice. 162 U. Pa. L. Rev. 605-647 (2014). May 23, 2014 198. Backer, Larry Cata. 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Grossman--Hart (1986) goes global: incomplete contracts, property rights, and the international organization of production. 30 J.L. Econ. & Org. i118-i175 (2014). 25 375. Bernstein, Bob. The CFTC's attempt to impose speculative position limits on offexchange swap contracts likely to face continued legal challenge. 30 Touro L. Rev. 561-590 (2014). 376. Dolgopolov, Stanislav. High-frequency trading, order types, and the evolution of the securities market structure: one whistleblower's consequences for securities regulation. 2014 U. Ill. J.L. Tech. & Pol'y 145-175. 377. Kim, Sung Hui. Insider trading as private corruption. 61 UCLA L. Rev. 928-1008 (2014). September 5, 2014 378. Adams, Edward S. Rethinking the law firm organizational form and capitalization structure. 78 Mo. L. Rev. 777-818 (2013). 379. Dzienkowski, John S. The future of big law: alternative legal service providers to corporate clients. 82 Fordham L. Rev. 2995-3040 (2014). 380. Newhouse, M.E. Institutional corruption: a fiduciary theory. 23 Cornell J.L. & Pub. Pol'y 553-594 (2014). 381. Levitin, Adam J. The politics of financial regulation and the regulation of financial politics: a review essay. (Reviewing Anat Admati and Martin Hellwig, The Bankers' New Clothes: What's Wrong with Banking and What to Do About It; Sheila Bair, Bull by the Horns: Fighting to Save Main Street from Wall Street and Wall Street from Itself; Neil Barofsky, Bailout: How Washington Abandoned Main Street While Rescuing Wall Street; Ben S. Bernanke, The Federal Reserve and the Financial Crisis; Alan S. Blinder, After the Music Stopped: The Financial Crisis, the Response, and the Work Ahead; Jeff Connaughton, The Payoff: Why Wall Street Always Wins.) 127 Harv. L. Rev. 1991-2068 (2014). September 12, 2014 382. Baer, Miriam H. Confronting the two faces of corporate fraud. 66 Fla. L. Rev. 87-155 (2014). 383. Cunningham, Lawrence A. Deferred prosecutions and corporate governance: an integrated approach to investigation and reform. 66 Fla. L. Rev. 1-85 (2014). 384. DeStefano, Michele. Claim funders and commercial claim holders: a common interest or a common problem? 63 DePaul L. Rev. 305-376 (2014). 385. Harner, Michelle M. and Jamie Marincic Griffin. Facilitating successful failures. 66 Fla. L. Rev. 205-260 (2014). 386. Sharfman, Bernard S. Shareholder wealth maximization and its implementation under corporate law. 66 Fla. L. Rev. 389-431 (2014). 26 387. Blakey, G. Robert and Michael Gerardi. Eliminating overlap, or creating a gap? Judicial interpretation of the Private Securities Litigation Reform Act of 1995 and RICO. 28 Notre Dame J.L. Ethics & Pub. Pol'y 435-480 (2014). 388. Cliff, Gerald and Christian Desilets. White collar crime: what it is and where it's going. 28 Notre Dame J.L. Ethics & Pub. Pol'y 481-523 (2014). 389. Gallo, John N. and Daniel M. Greenfield. The corporate criminal defendant's illusory right to trial: a proposal for reform. 28 Notre Dame J.L. Ethics & Pub. Pol'y 525-547 (2014). 390. Koller, Cynthia A., Laura A. Patterson and Elizabeth B. Scalf. When moral reasoning and ethics training fail: reducing white collar crime through the control of opportunities for deviance. 28 Notre Dame J.L. Ethics & Pub. Pol'y 549-578 (2014). 391. George, Erika R. Incorporating rights: empire, global enterprise, and global justice. 10 U. St. Thomas L.J. 917-959 (2013). 392. Greenfield, Kent. Corporate citizenship: goal or fear? 10 U. St. Thomas L.J. 960-973 (2013). 393. Johnson, Lyman. Law and the history of corporate responsibility: corporate governance. 10 U. St. Thomas L.J. 974-990 (2013). 394. Lipartito, Kenneth. The antimonopoly tradition. 10 U. St. Thomas L.J. 991-1012 (2013). 395. Millon, David. Radical shareholder primacy. 10 U. St. Thomas L.J. 1013-1044 (2013). 396. Rotman, Leonard I. Is corporate law experiencing its own "Groundhog Day"? 10 U. St. Thomas L.J. 1045-1059 (2013). 397. Sulkowski, Adam & Sandra Waddock. Beyond sustainability reporting: integrated reporting is practiced, required and more would be better. 10 U. St. Thomas L.J. 1060-1085 (2013). 398. Yosifon, David G. Corporate aid of governmental authority: history and analysis of an obscure power in Delaware corporate law. 10 U. St. Thomas L.J. 1086-1122 (2013). 399. Gordon, Jason M. A shield of disadvantage: legal entity status within guardianadolescent entrepreneurial ventures. 9 Ohio St. Entrepren. Bus. L.J. 1-33 (2014). 400. Couture, Wendy Gerwick. The collision between the First Amendment and securities fraud. 65 Ala. L. Rev. 903-974 (2014). 401. Utset, Manuel A. Rational financial meltdowns. 10 Hastings Bus. L.J. 407-450 (2014). 27 September 19, 2014 402. Harkins, Malcolm J. III. The uneasy relationship of Hobby Lobby, Conestoga Wood, the Affordable Care Act, and the corporate person: how a historical myth continues to bedevil the legal system. 7 St. Louis U. J. Health L. & Pol'y 201-310 (2014). 403. Roe, Mark J. Structural corporate degradation due to too-big-to-fail finance. 162 U. Pa. L. Rev. 1419-1464 (2014). 404. Sherrard, Michael G. and Gerlind Wisskirchen. Next up for North American employers and unions? International and corporate social responsibility. 29 A.B.A. J. Lab. & Emp. L. 245282 (2014). 405. Heminway, Joan MacLeod. Investor and market protection in the crowdfunding era: disclosing to and for the "crowd." 38 Vt. L. Rev. 827-848 (2014). 406. Lamare, J. Ryan and David B. Lipsky. Employment arbitration in the securities industry: lessons drawn from recent empirical research. 35 Berkeley J. Emp. & Lab. L. 113-133 (2014). 407. McNamara, Steven. Financial markets uncertainty and the Rawlsian argument for central counterparty clearing of OTC derivatives. 28 Notre Dame J.L. Ethics & Pub. Pol'y 209285 (2014). September 26, 2014 408. de Bettignies, Jean-Etienne and Thomas W. Ross. Mergers, agency costs, and social welfare. 30 J.L. Econ. & Org. 401-436 (2014). 409. Eyal-Cohen, Mirit. Legal mirrors of entrepreneurship. 55 B.C. L. Rev. 719-773 (2014). 410. Gorman, Thomas O. Emerging trends in FCPA enforcement. 37 Fordham Int'l L.J. 1193-1213 (2014). 411. Litov, Lubomir P., Simone M. Sepe and Charles K. Whitehead. Lawyers and fools: lawyer-directors in public corporations. 102 Geo. L.J. 413-480 (2014). 412. Shishido, Zenichi. Does law matter to financial capitalism? The case of Japanese entrepreneurs. 37 Fordham Int'l L.J. 1087-1127 (2014). 413. Curtis, Quinn and John Morley. An empirical study of mutual fund excessive fee litigation: do the merits matter? 30 J.L. Econ. & Org. 275-305 (2014). 414. Tarullo, Daniel K. International cooperation in central banking. 47 Cornell Int'l L.J. 114 (2014). 415. Holmes, Douglas R. Communicative imperatives in central banks. 47 Cornell Int'l L.J. 15-61 (2014). 28 416. Riles, Annelise. Managing regulatory arbitrage: a conflict of laws approach. 47 Cornell Int'l L.J. 63-119 (2014). October 3, 2014 417. Bowman, Megan. Corporate "care" and climate change: implications for bank practice and government policy in the United States and Australia. 19 Stan. J.L. Bus. & Fin. 1-37 (2013). 418. Epstein, Richard A. Redistribution within collective organizations. 8 N.Y.U. J.L. & Liberty 280-315 (2014). 419. Hutchison, Harry G. Ampersand, Tornillo, and Citizens United: the First Amendment, corporate speech, and the NLRB. 8 N.Y.U. J.L. & Liberty 630-713 (2014). 420. Weber, Robert. A theory for deliberation-oriented stress testing regulation. 98 Minn. L. Rev. 2236-2325 (2014). 421. Taha, Ahmed E. and John V. Petrocelli. Sending mixed messages: investor interpretations of disclosures of analyst stock ownership. 20 Psychol. Pub. Pol'y & L. 68-77 (2014). 422. Weber, Rolf H., Douglas W. Arner, Evan C. Gibson and Simone Baumann. Addressing systemic risk: financial regulatory design. 49 Tex. Int'l L.J. 149-200 (2014). 423. Paulus, Christoph G. The interrelationship of sovereign debt and distressed banks: a European perspective. 49 Tex. Int'l L.J. 201-219 (2014). 424. Pottow, John A.E. Mitigating the problem of vulture holdout: international certification boards for sovereign-debt restructurings. 49 Tex. Int'l L.J. 221-243 (2014). 425. Mooney, Charles W., Jr. The Bankruptcy Code's safe harbors for settlement payments and securities contracts: when is safe too safe? 49 Tex. Int'l L.J. 245-269 (2014). 426. Bradley, Caroline. Breaking up is hard to do: the interconnection problem in financial markets and financial regulation, a European (banking) Union perspective. 49 Tex. Int'l L.J. 271295 (2014). 427. Lubben, Stephen J. and Sarah Pei Woo. Reconceptualizing Lehman. 49 Tex. Int'l L.J. 297-327 (2014). 428. Westbrook, Jay Lawrence. SIFIs and states. 49 Tex. Int'l L.J. 329-354 (2014). 429. Gelpern, Anna. Common capital: a thought experiment in cross-border resolution. 49 Tex. Int'l L.J. 355-383 (2014). October 10, 2014 430. Golumbic, Court E. and Albert D. Lichy. The "too big to jail" effect and the impact on the Justice Department's corporate charging policy. 65 Hastings L.J. 1293-1344 (2014). 29 431. Laster, J. Travis. The effect of stockholder approval on enhanced scrutiny. 40 Wm. Mitchell L. Rev. 1443-1491 (2014). 432. Sale, Hillary A. J.P. Morgan: an anatomy of corporate publicness. 79 Brook. L. Rev. 1629-1655 (2014). October 17, 2014 433. Dore, Matthew G., et al. How you gonna keep 'em down on the farm after Baur v. Baur Farms, Inc.? An analysis and defense of the "reasonable expectations" standard for Iowa oppression cases. 18 Drake J. Agri. L. 429-472 (2013). 434. Siebecker, Michael R. Securities regulation, social responsibility, and a new institutional First Amendment. 29 J.L. & Pol. 535-556 (2014). 435. Anderson, John P. Greed, envy, and the criminalization of insider trading. 2014 Utah L. Rev. 1-54. 436. Colesanti, J. Scott. Other people's volatility: a call for rules that more equitably stabilize the stock market. 39 U. Dayton L. Rev. 1-36 (2013). October 24, 2014 437. Bebchuk, Lucian A. and Allen Ferrell. Rethinking Basic. 69 Bus. Law. 671-697 (2014). 438. Ambro, Hon. Thomas L. Introduction to Fuld@40 Papers. 69 Bus. Law. 905-907 (2014). 439. Field, Arthur Norman. Pogo, the slippery slope and the Opinion Express: a challenge to opinion recipients. 69 Bus. Law. 909-915 (2014). 440. Keller, Stanley. Legal opinion practice at a crossroads. 69 Bus. Law. 917-921 (2014). 441. Pannell, Robert D. Legal opinions in business transactions: the modern roots of a professional discipline. 69 Bus. Law. 923-931 (2014). 442. Schwartz, Philip B. It's time to reconsider normative opinion standards. 69 Bus. Law. 933-939 (2014). 443. Kaufman, Andrew M. Reflections on the kitchen sink. 69 Bus. Law. 941-944 (2014). 444. Merel, Gail and Reade H. Ryan, Jr. Rethinking the opinion giver of the remedies opinion. 69 Bus. Law. 945-948 (2014). 445. Glazer, Donald W. "Mend your speech...lest you may mar your fortunes": some thoughts on the drafting of closing opinions. 69 Bus. Law. 949-952 (2014). 446. Field, Arthur Norman and Donald W. Glazer. Some thoughts on the limits of customary practice. 69 Bus. Law. 953-955 (2014). 30 447. Adcock, A. Mark, Gail Merel and Reade H. Ryan, Jr. Legal opinions--who may rely? 69 Bus. Law. 957-960 (2014). 448. Buck, Willis R., Jr., Gail Merel and Read H. Ryan, Jr. Fuld@40: a group project on common qualifications to a remedies opinion in U.S. commercial loan transactions. 69 Bus. Law. 961-967 (2014). 449. Powell, Norman M. Does the Fortress decision offer any lessons for opinion givers? 69 Bus. Law. 969-971 (2014). 450. Williams, George M. Jr. Theory of disclosure in legal opinions. 69 Bus. Law. 973-978 (2014). 451. Young, Bruce C. and Charles E. McCallum. Ethical considerations in third party opinion practice--withdrawal from an opinion engagement and disaffirmance of a previously issued opinion. 69 Bus. Law. 979-989 (2014). 452. Freivogel, William, Lori S. Gordon, James A. Smith and Robert A. Wittie. The late entrants problem: ethical considerations in giving opinions when potential conflicts arise late in a transaction. 69 Bus. Law. 991-996 (2014). 453. Frasch, Richard N., Donald W. Glazer, Stanley Keller, Andrew J. Pitts, John B. Power and Ettore A. Santucci. Some thoughts on the implications of recent developments for the future of opinion practice. 69 Bus. Law. 997-1005 (2014). 454. Hering, Louis G. and Melissa DiVencenzo. Considerations for contractual provisions extending statutes of limitations. 69 Bus. Law. 1007-1013 (2014). 455. Lehavi, Amnon. Concepts of power: majority control and accountability in private legal organizations. 8 Va. L. & Bus. Rev. 1-58 (2014). 456. Burke, Rugger and student Samuel P. Bragg. Sustainability in the boardroom: reconsidering fiduciary duty under Revlon in the wake of public benefit corporation legislation. 8 Va. L. & Bus. Rev. 59-83 (2014). 457. Taylor, Celia R. Drowning in disclosure: the overburdening of the Securities & Exchange Commission. 8 Va. L. & Bus. Rev. 85-120 (2014). 458. Dubbs, Thomas A. Textualism and transnational securities law: a reappraisal of Justice Scalia's analysis in Morrison v. National Australia Bank. 20 Sw. J. Int'l L. 227-281 (2014). 459. Bainbridge, Stephen M. Must Salmon love Meinhard? Agape and partnership fiduciary duties. 17 Green Bag 257-270 (2014). October 31, 2014 460. Michels, Kevin H. The corporate attorney as "internal" gatekeeper and the in pari delicto defense: a proposed new standard. 4 St. Mary's J. Legal Mal. & Ethics 318-373 (2014). 31 461. Ryan, Christopher J., Jr. Something corporate: the case for treating proprietary education institutions like corporations. 40 J.C. & U.L. 247-284 (2014). 462. O'Connor, Sean M. Crowdfunding's impact on start-up IP strategy. 21 Geo. Mason L. Rev. 895-918 (2014). November 7, 2014 463. Alexander, Mystica M. Benefit corporations--the latest development in the evolution of social enterprise: are they worthy of a taxpayer subsidy? 38 Seton Hall Legis. J. 219-279 (2014). 464. Graves, Elissa. The corporate right to free exercise of religion: the Affordable Care Act and the contraceptive coverage mandate. 18 Tex. Rev. L. & Pol. 199-230 (2014). 465. Apolinsky, Joanna B. The boundaries of fraud under the insider trading rules. 13 Fla. St. U. Bus. Rev. 1-35 (2014). 466. Stone, Richard. Right for the wrong reason: what the Supreme Court could have reasoned in Troice. 13 Fla. St. U. Bus. Rev. 131-155 (2014). 467. de Fontenay, Elisabeth. Private equity firms as gatekeepers. 33 Rev. Banking & Fin. L. 115-189 (2013-2014). 468. Atik, Jeffery. EU implementation of Basel III in the shadow of the Euro Crisis. 33 Rev. Banking & Fin. L. 283-341 (2013-2014). 469. Frankel, Tamar. Municipalities in distress: a preventative view. 33 Rev. Banking & Fin. L. 779-794 (2013-2014). 470. Shanske, Darien. The Feds are already here: the federal role in municipal debt finance. 33 Rev. Banking & Fin. L. 795-811 (2013-2014). 471. Fletcher, Gina-Gail S. Hazardous hedging: the (unacknowledged) risks of hedging with credit derivatives. 33 Rev. Banking & Fin. L. 813-898 (2013-2014). November 14, 2014 472. Kang, Sang Yop. Re-envisioning the controlling shareholder regime: why controlling shareholders and minority shareholders often embrace. 16 U. Pa. J. Bus. L. 843-895 (2014). 473. Magnier, Veronique and Darren Rosenblum. Quotas and the transatlantic divergence of corporate governance. 34 Nw. J. Int'l L. & Bus. 249-298 (2014). 474. Myers, Minor. Fixing multi-forum shareholder litigation. 2014 U. Ill. L. Rev. 467-551. 475. Stipanowich, Thomas J. and J. Ryan Lamare. Living with ADR: evolving perceptions and use of mediation, arbitration, and conflict management in Fortune 1000 corporations. 19 Harv. Negotiation L. Rev. 1-68 (2014). 32 476. Campbell, Rutheford B, Jr. The new regulation of small business capital formation: the impact--if any--of the JOBS Act. 102 Ky. L.J. 815-848 (2013-2014). 477. Cox, James D. Who can't raise capital?: the Scylla and Charybdis of capital formation. 102 Ky. L.J. 849-863 (2013-2014). 478. Heminway, Joan MacLeod. How Congress killed investment crowdfunding: a tale of political pressure, hasty decisions, and inexpert judgments that begs for a happy ending. 102 Ky. L.J. 865-889 (2013-2014). 479. Langevoort, Donald C. and Robert B. Thompson. IPOs and the slow death of Section 5. 102 Ky. L.J. 891-923 (2013-2014). 480. Rodrigues, Usha. The effect of the JOBS Act on underwriting spreads. 102 Ky. L.J. 925-945 (2013-2014). 481. Sjostrom, William K., Jr. Direct private placements. 102 Ky. L.J. 947-969 (2013-2014). 482. Warren, Manning Gilbert III. The role of the states in the regulation of private placements. 102 Ky. L.J. 971-1030 (2013-2014). 483. Borden, Bradley T. and David J. Reiss. REMIC tax enforcement as financial-market regulator. 16 U. Pa. J. Bus. L. 663-737 (2014). 484. Park, Stephen Kim. Guarding the guardians: the case for regulating state-owned financial entities in global finance. 16 U. Pa. J. Bus. L. 739-787 (2014). November 21, 2014 485. Nougayrede, Delphine. Outsourcing law in post-Soviet Russia. 6 J. Eurasian L. 383449 (2013). 486. Subramanian, Guhan. Delaware's choice. 39 Del. J. Corp. L. 1-53 (2014). 487. Grundfest, Joseph A. I told you so. 39 Del. J. Corp. L. 55-65 (2014). 488. Laster, J. Travis. Evidence-based corporate law. 39 Del. J. Corp. L. 67-69 (2014). 489. Hamermesh, Lawrence A. and Norman M. Monhait. A Delaware response to Delaware's choice. 39 Del. J. Corp. L. 71-75 (2014). 490. Shapiro, Stephen M. and Dorothy H. Shapiro. Time to amend the Delaware takeover law. 39 Del. J. Corp. L. 77-83 (2014). 491. Subramanian, Guhan. Delaware's choice: a brief reply to commentators. 39 Del. J. Corp. L. 85-91 (2014). 492. Dent, George W., Jr. Corporate governance without shareholders: a cautionary lesson from non-profit organizations. 39 Del. J. Corp. L. 93-116 (2014). 33 493. Hamermesh, Lawrence A. Director nominations. 39 Del. J. Corp. L. 117-159 (2014). 494. Walther, Ben. The peril and promise of preferred stock. 39 Del. J. Corp. L. 161-221 (2014). November 28, 2014 495. Choudhury, Barnali. Aligning corporate and community interests: from abominable to symbiotic. 2014 BYU L. Rev. 257-308. 496. Hoffer, Stephanie and Dale A. Oesterle. Tax-free reorganizations: the evolution and revolution of triangular mergers. 108 Nw. U. L. Rev. 1083-1113 (2014). 497. Lang, John Temple. How can the problem of the liability of a parent company for price fixing by a wholly-owned subsidiary be resolved? 37 Fordham Int'l L.J. 1481-1524 (2014). 498. Rosenzweig, Adam H. A corporate tax for the next one hundred years: a proposal for a dynamic, self-adjusting corporate tax rate. 108 Nw. U. L. Rev. 1029-1081 (2014). 499. Wen, Shuangge. The ideals and reality of a legal transplant -- the veil-piercing doctrine in China. 50 Stan. J. Int'l L. 319-358 (2014). 500. Chaffee, Eric C. From legalized business ethics to international trade regulation: the role of the Foreign Corrupt Practices Act and other transnational anti-bribery regulations in fighting corruption in international trade. 65 Mercer L. Rev. 701-731 (2014). 501. Mayrell. Ralph C. Too complex to perceive? Drafting cash distribution waterfalls directly as code to reduce complexity and legal risk in structured finance, master limited partnership, and private equity transactions. 34 Pace L. Rev. 349-418 (2014). 502. Murdock, Charles W. Janis Capital Group v. First Derivative Traders: the culmination of the Supreme Court's evolution from liberal to reactionary in Rule 10b-5 actions. 91 Denv. U. L. Rev. 369-439 (2014). December 5, 2014 503. Kalimo, Harri and Tim Staal. "Softness" in international instruments: the case of transnational corporations. 41 Syracuse J. Int'l L. & Com. 257-334 (2014). 504. Shaner, Megan Wischmeier. How "bad law, bad economics and bad policy" positively shaped corporate behavior. 47 Akron L. Rev. 753-807 (2014). 505. Wells, Bret. Pass-through entity taxation: a tempest in the tax reform teapot. 14 Hous. Bus. & Tax L.J. 1-23 (2014). 506. Caskey, Judson. The pricing effects of securities class action lawsuits and litigation insurance. 30 J.L. Econ. & Org. 493-532 (2014). 34 507. Dhir, Aaron A. Diversity in the boardroom: a content analysis of corporate proxy disclosures. 26 Pace Int'l L. Rev. 6-12 (2014). 508. Krawiec, Kimberly D., John M. Conley and Lissa L. Broome. A difficult conversation: corporate directors on race and gender. 26 Pace Int'l L. Rev. 13-22 (2014). 509. Wade, Cheryl L. Gender diversity on corporate boards: how racial politics impedes progress in the United States. 26 Pace Int'l L. Rev. 23-37 (2014). 510. Alstott, Anne L. Gender quotas for corporate boards: options for legal design in the United States. 26 Pace Int'l L. Rev. 38-56 (2014). 511. Watt, Horatia Muir. Corporate governance sex regimes: peripheral thoughts from across the Atlantic. 26 Pace Int'l L. Rev. 57-67 (2014). 512. Carroll, Kristen. Norway's Companies Act: a 10 year look at gender-equality. 26 Pace Int'l L. Rev. 68-79 (2014). December 12, 2014 513. Armstrong, Monica D. OMG! ESD codified!: the overreaction to codification of the economic substance doctrine. 9 Fla. A&M U. L. Rev. 113-143 (2013). 514. Kohl, Uta. Corporate human rights accountability: the objections of Western governments to the Alien Tort Statute. 63 Int'l & Comp. L.Q. 665-697 (2014). 515. Simard, Linda Sandstrom. A view from within the Fortune 500: an empirical study of negative value class actions and deterrence. 47 Ind. L. Rev. 739-785 (2014). 516. Zimmerman, Adam S. Mass settlement rivalries. 82 U. Cin. L. Rev. 381-414 (2013). 517. Rapp, Geoffrey Christopher. Intelligence design: an analysis of the SEC's new Office of Market Intelligence and its goal of using big data to improve securities enforcement. 82 U. Cin. L. Rev. 415-437 (2013). 518. Jones, Renee M. Unfit for duty: the officer and director bar as a remedy for fraud. 82 U. Cin. L. Rev. 439-464 (2013). 519. Johnson, Jennifer J. Private placements: will FINRA sink in the sea change? 82 U. Cin. L. Rev. 465-489 (2013). 520. Verret, J.W. Economic analysis in securities enforcement: the next frontier at the SEC. 82 U. Cin. L. Rev. 491-504 (2013). 521. Buell, Samuel W. Liability and admissions of wrongdoing in public enforcement of law. 82 U. Cin. L. Rev. 505-522 (2013). 522. Branson, Douglas M. A changing mosaic in SEC regulation and enforcement: brokerdealers and investment advisers. 82 U. Cin. L. Rev. 523-550 (2013). 35 523. Winship, Verity. Policing compensatory relief in agency settlements. 82 U. Cin. L. Rev. 551-561 (2013). 524. Choi, Stephen J. and Kevin E. Davis. Foreign affairs and enforcement of the Foreign Corrupt Practices Act. 11 J. Empirical Legal Stud. 409-445 (2014). 525. Schwartz, Andrew A. Arbitration and the contract exchange. 29 Ohio St. J. on Disp. Resol. 299-331 (2014). 526. Vandenbergh, Michael P., Kaitlin Toner Raimi and Jonathan M. Gilligan. Energy and climate change: a climate prediction market. 61 UCLA L. Rev. 1962-2017 (2014). December 19, 2014 527. Chiappinelli, Eric A. The underappreciated importance of personal jurisdiction in Delaware's success. 63 DePaul L. Rev. 911-957 (2014). 528. Haan, Sarah C. Opaque transparency: outside spending and disclosure by privately-held business entities in 2012 and beyond. 82 U. Cin. L. Rev. 1149-1200 (2014). 529. Schwartz, Victor E. and Phil Goldberg. Carrots and sticks: placing rewards as well as punishment in regulatory and tort law. 51 Harv. J. on Legis. 315-363 (2014). 36