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Publications
Securities Fraud & Corporate Governance
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"The 7th Circuit Sends a Strong Message: Institutions Must Monitor Securities Class Action Claims"
by
Blair A. Nicholas and Ian D. Berg
(The Nappa Report, August, 2008)
"Industry-Wide Collapse Defense Falls Flat in Recent
Subprime-Related Securities Fraud Decisions"
by Blair A. Nicholas
(Securities Litigation & Regulation Reporter, July, 2008)
"Lessons From Bear Stearns' Demise:
How Better Regulation and Oversight Can Restore Order and Confidence in the Market"
by Matthew Jubenville
(May, 2008)
"Regulatory Underkill"
by Arthur Levitt, Jr. (May, 2008)
"Strange Timing: Paulson Proposes the End of the
SEC"
by David Webber
(May, 2008)
Submission to the Securities and
Exchange Commission’s Advisory Committee on Improvements to Financial Reporting
by Salvatore
Graziano (March 10, 2008)
Wall Street, Heel Thyself: Put a Leash on Runaway
Exec Pay!
by Tony Gelderman and
Bruce W. Leppla (February 2008)
"The
Fingerprints of Fraud in the Mortgage Mess"
by
Jon Worm (February 2008)
"The SEC Pulls the Rug out From Under Investors"
by Deval
Zaveri (February 2008)
"Silence is Golden:
Stoneridge Decision Deals a Blow to Investors' Scheme Liability Claims"
by
Jai Chandrasekhar (February 2008)
BLB&G Partner
Sean Coffey Addresses U.S. Treasury Advisory Committee on Auditor Liability
by Sean Coffey (January 2008)
"A
Balanced Decision in Tellabs"
by
Salvatore J. Graziano,
John
Browne and
Jai Chandrasekhar
(August 2007)
"The
SEC: Friend or Foe?"
by Jeffrey Leibell and
Adam Wierzbowski (August 2007)
"David vs. Goliath: The Struggle to Keep America's Capital
Markets Fair and Transparent"
by
Katherine McCracken Sinderson (August 2007)
"As the Worm Turns: The
Organized Campaign To Insulate Corporate America and Investor Watchdogs from
Accountability"
by Niki Mendoza
and Takeo Kellar
(August 2007)
"Fewer Securities Class Actions Filed in 2006: Permanent Decline, Part of a Cycle, or Random Variation?"
by
David Stickney (March 2007)
An Open Letter in Response to Recent
Attempts to Curtail the Rights of Shareholders to Pursue Private Causes of Action Under the Securities Laws
by
Max Berger
(March 12, 2007 letter to institutional investor community)
Securities Fraud & Corporate Governance Archives
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