Winter 2012-13: Nicholas W. Turner ’12 had his article “Dodd-Frank and International Regulatory Convergence: The Case for Mutual Recognition” published in the New York Law School Law Review.
November/December 2012: Rena Malik ’10 had her article “Are You Covered? Insurance Considerations for Hedge Fund Managers and Directors” published in the Journal of Taxation and Regulation of Financial Institutions
11/14/12: Professor Houman Shadab spoke at the 18th Annual Risk USA conference on the impact of regulation on the derivatives market.
11/14/12: Professor Ronald Filler discussed derivatives gross margining on MarketsWiki.tv
11/5/12: Professor Houman Shadab spoke at the Global Financial Markets Intelligence Collateral Management Conference on bank capital regulation.
11/1/12: Professor Ronald Filler was quoted in Futures Magazine article “What the Experts Think About MF Global.”
10/31/12: Professor Ronald H. Filler was named the chairman of the Commodity Futures Trading Commission’s Global Markets Advisory Committee.
10/12/12: Professor Jeffrey Haas spoke at the St. John’s Law Review Symposium “Revolution in the Regulation of Financial Advice: The U.S., the U.K. and Australia.”
9/19/12: Professor Houman Shadab spoke at the OTC Derivatives Clearing Summit.
8/9/12: Professor Ronald Filler participated in a Commodity Futures Trade Commission roundtable on Customer Protection Requirements for Futures Commission Merchants.
July/August 2012: Evan J. Cappelli ’12 had his article “Credit Rating Agency Disclosure Requirements: A Guide to Rule 17g-7 Compliance When Rating Asset-Backed Securities” published in the Journal of Taxation and Regulation of Financial Institutions.
3/7/12: Professor Tamara Belinfanti had her article “Corporations in a Lorax State” published in the Huffington Post.