No subject area
Five Decades of Corporation Law - From Conglomeration to Equity Compensation, Villanova Law Review, Forthcoming (2008)
Stockholders and Stock Options -- Malfeasance, Manipulation, Misappropriation or Not?, Villanova Law Review, Forthcoming (2008)
Taking Certification Seriously - Why There Is No Such Thing as an Adequate Representative in a Securities Fraud Class Action (forthcoming), Villanova Law/Public Policy Research Paper No. 2008-07 (2008)
The Paulson Report Reconsidered: How to Fix Securities Litigation by Converting Class Actions into Issuer Actions, Villanova University Legal Working Paper Series (2008)
Foreward: The Rise and Fall of Federal Corporation Law, Journal of Business and Technology Law (2007)
The Duty to Creditors Reconsidered - Filling a Much Needed Gap in Corporation Law, Journal of Business and Technology Law (2007)
The End of the Securities Fraud Class Action as We Know It, Berkeley Business Law Journal (2007)
The Missing Link Between Insider Trading and Securities Fraud, Journal of Business and Technology Law (2007)
Capital Requirements in the United States Corporation Law, in Das Kapital der Aktiengesellschaft in Europa, Zeitschrifft fuer Unternehmens und Gesellschaftrecht (2006)
Give Me Equity or Give Me Death - The Role of Competition and Compensation in Building Silicon Valley, Entrepreneurial Business Law Journal (2006)
Using Spread and Net Trading Range to Measure Risk in Suitability Cases, University of Maryland Legal Studies Research Paper No. 2006-5 (2006)
Who Should Recover What for Late Trading and Market Timing?, Journal of Business and Technology Law (2006)
Executive Compensation, Corporate Governance, and the Partner-Manager, University of Illinois Law Review (2004)
Making Economic Sense of Unisex Life Insurance (Or the Difference Between Cost and Value and Why It Matters to Real People), Villanova University Legal Working Paper Series (2002)
Minority Discounts and Control Premiums in Appraisal Proceedings, Business Law (2001)
In a merger, a stockholder often has a statutory right of dissent and appraisal under...
Investor Diversification and Corporation Law (Or Roll Over Berle and Means), Delaware Journal of Corporate Law (2000)
The Suitability Rule, Investor Diversification, and Using Spread to Measure Risk, Business Law (1999)
Comments on Proposed NASD Rule on the Award of Punitive Damages in Arbitration (submitted to SEC) (1998)
Stockholders, Stakeholders, and Bagholders (Or How Investor Diversification Affects Fiduciary Duty), Business Law (1998)
Fiduciary Duty, Contract, and Waiver in Partnerships and Limited Liability Companies, Business Law (1997)
Symposium, Check-the-Box and Beyond: The Future of Limited Liability Entities in Business Law (1997)
The Limited Liability Company and the Search for a Bright Line Between Corporations and Partnerships, Wake Forest Law Review (1997)
Punitive Damage Awards Hurt Consumers as Well as Businesses, The Daily Record (panel discussion) (1995)
Profit-Seeking, Individual Liability, and the Idea of the Firm, Washington University Law Quarterly (1995)
Limited Liability and the Efficient Allocation of Resources, Northwestern University Law Review (1994)
The Efficient Market, Portfolio Theory and the Downward Sloping Demand Hypothesis, New York University Law Review (1993)
The Efficient Market, Portfolio Theory and the Downward Sloping Demand Hypothesis, The Red Herring (1992)
Junk Bonds, the Relevance of Dividends and the Limits of Managerial Discretion, Columbia Business Law Review (1987)
Family Corporations: Division on Divorce -- Remedies an dTheories in State Bar of Texas, Marrige Dissolution Institute (with Webb and Kinser) (1986)
Is There Any Valid Reason Why Target Managers Oppose Tender Offers?, Securities Regulation Law Journal (1986)
The Emerging Conflict Between Federal Securities Law and State Corporation Law, Journal of Corporation Law (1986)