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4 (1996), Edmund Theory and Practice of Securities Disclosure, 61 Brooklyn (1995), Donald Hope, Selling Risk: Some Lessons for Law From Behavioral Economics About Stockbrokers and Sophisticated Customers, 84 (1996), Laura The Effectiveness of Outside Directors as a Corporate Governance Mechanism: Theories and Evidence, 90 (1996), Ira Professional Board, 50 1427(1995), Robert , Liquidity, and Majority Rule: Appraisal39。s Role in Corporate Law, 84 (1995), George Daniels, Ronald Role of Debt in Interactive Corporate (1995)1995年: 公司法: , Jennifer and Deborah A Political Theory of Corporate Taxation,.105 Yale (1995)., Charles Duty of Care, Compensation, and Stock Ownership, 63 (1995)., Henry Expectations: “Derivative Reality” and the Law and Finance of the Corporate Objective, 73 (1995)., Marcel The Qualified Case Against Mandatory Terms in Bonds, 89 (1995)., Michael Corporations, Corporate Law, and Networks of Contracts, 81 (1995)., Lawrence and Constraint in the Modern Corporation: An Inquiry Into the Causes of Corporate Immorality, 73 (1995)., Mary Back to the Future: Appraisal Rights in the TwentyFirst Century, 32 (1995).證券法:, Joseph Disimply? 108 (1995)., Baruch and Meiring de Villiers Stock Price Crashes and 10b5 Damages: A Legal Economic, and Policy Analysis, 47 (1994)., Paul Disclosure as a Solution to Agency Problems, 62 (1995)., Joel The Merits Do Matter, 108 (1994)., Joel The Obsolescence of Wall Street: A Contextual Approach to the Evolving Structure of Federal Securities Regulation, 93 (1995)., Lynn Stock Markets Costly Casinos? Disagreement, Mark Failure, and Securities Regulation, 81 (1995)., Elliott John Let the Money Do the Monitoring: How Institutional Investors Can Reduce Agency Costs in Securities Class Actions, 104 Yale (1995).1994年: 公司法:, Stephen and Hanson, Jon Unlocking Lockups, 103 Yale (1994), Jeffrey as Relational Investors: A New Look at Cumulative Voting, 94 (1994), Jonathan M., and Lott, John R., Reputational Penalty Firms Bear From Committing Criminal Fraud, 36 .amp。 (1993), Reiner, Park, Hyun, and Shavell, Steven When Are Shareholder Suits in Shareholder Interests?, 82 (1994), Lawrence and Trust in Corporate Law, 43 Duke (1993), Dale Palmiter, Alan Schizophrenia in Shareholder Voting Cases, 79 Iowa (1994), John The Rise of the Political Model of Corporate Governance and Corporate Control, 68 (1993), David A., the Line Between Corporate Law and Corporate Bankruptcy, 72 (1994), Robert Limited Liability: Direct and Vicarious Liability of Corporate Participants for Torts of the Enterprise, 47 (1994)證券法:, Janet Cooper The Value of Bad News in Securities Class Actions, 41 UCLA (1994), Stephen Trading Under the Restatement of the Law Governing Lawyers, 19 (1993), Bernard Coffee, John Britannia?: Institutional Investor Behavior Under Limited Regulation, 92 (1994), Richard Efficient Market, portfolio Theory, and the Downward Sloping Demand Hypothesis, 68 (1993), John C., SEC and the Institutional Investor: A HalfTime Report, 15 Cardozo 837907(1994), Merritt Trading Deterrence Versus Managerial Incentives: A Unified Theory of Section 16(b), 92 (1994), Joseph Private Rights of Action Under the Federal Securities Laws: The Commission39。s Authority, 107 (1994), Jonathan Agency Obsolescence and Interest Group Formation: A Case Study of the SEC at Sixty, 15 Cardozo (1994), Edward the Dark Side of Relational Investing, 15 Cardozo (1994)