| I. Fear, Fraud, and the Financial
Regulation Symposium | | |
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| Introduction: The
Market Meltdown of 2008 and the Future of Financial
Reregulation | | Faith
Stevelman |
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| Short Selling
and the News: A Preliminary Report on an Empirical Study
| | Merritt B. Fox, Lawrence R.
Glosten, and Paul C.
Tetlock |
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| Counterparty
Regulation and Its Limits: The Evolution of the Credit Default Swaps
Market | | Houman B.
Shadab |
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| Keynote Address:
The Conflicted Trustee Dilemma | | Steven L.
Schwarcz |
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| A Board's Duty to
Monitor | | Eric Pan | |
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| Carpe Crisis:
Capitalizing on the Breakdown of Capitalism to Consider the Creation of
Social Businesses | | Celia R.
Taylor |
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| II.
Article | | |
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| A Critical Survey of the
Law, Ethics, and Economics of Attorney Contingent Fee
Arrangements | | Adam
Shajnfeld |
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| III. Note
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| Does CERCLA
Preempt New York State Law Claims for Cost Recovery and
Contribution? | | Kristi
Weiner |
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| IV. Comments
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| Nieves v, Home
Box Office, Inc. | | Andrew
Nieh |
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| Margae, Inc. v.
Clear Link Technologies | | Jonathan
Goodman |
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