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Volume 54 No. 3

Fear, Fraud, and the Future of Financial Regulation Symposium

 

Volume 54, Issue 3 (2009-2010)

 

 

Contents

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