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Volume 93 • Issue 2

Article


Federal Securities Fraud Litigation as a Lawmaking Partnership

Jill E. Fisch

2015-01-01 Volume 93 • Issue 2 • 453-486

Price Impact, Materiality, and Halliburton II

Allen Ferrell and Andrew Roper

2015-01-01 Volume 93 • Issue 2 • 553-582

Market Intermediation, Publicness, and Securities Class Actions

Hillary A. Sale and Robert B. Thompson

2015-01-01 Volume 93 • Issue 2 • 487-552

Paving the Delaware Way: Legislative and Equitable Limits On Bylaws After ATP

Michael J. Kaufman and John M. Wunderlich

2015-01-01 Volume 93 • Issue 2 • 335-377

Event Studies in Securities Litigation: Low Power, Confounding Effects, and Bias

Alon Brav and J. B. Heaton

2015-01-01 Volume 93 • Issue 2 • 583-614

Corporate Law and the Limits of Private Ordering

James D. Cox

2015-01-01 Volume 93 • Issue 2 • 257-292

Distortion Other Than Price Distortion

Urska Velikonja

2015-01-01 Volume 93 • Issue 2 • 425-451

Mandatory Disclosure and Individual Investors: Evidence From the Jobs Act

Colleen Honigsberg, Robert J. Jackson Jr. and Yu-Ting Forester Wong

2015-01-01 Volume 93 • Issue 2 • 293-334

The Intersection of Fee-Shifting Bylaws and Securities Fraud Litigation

William K. Sjostrom Jr.

2015-01-01 Volume 93 • Issue 2 • 379-423

Table of Contents


Table of Contents

2015-01-01 Volume 93 • Issue 2

Introduction


Introduction

2015-01-01 Volume 93 • Issue 2 • 247-247

General Information


Mailing Statement

2015-01-01 Volume 93 • Issue 2

Faculty List

2015-01-01 Volume 93 • Issue 2

Editorial Board

2015-01-01 Volume 93 • Issue 2

Tribute


In Memory of Harvey J. Goldschmid

Joel Seligman

2015-01-01 Volume 93 • Issue 2 • 249-255