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    کد خبر : 186758
    تاریخ انتشار : 26 تیر 1395 12:15
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    Berkeley Business Law Journal

    Berkeley Business Law Journal

    2004, Vol.1                  2015, Vol.12

    2005, Vol.2

    2005-2006, Vol.3

    2007, Vol.4

    2008, Vol.5

    2009, Vol.6

    2010, Vol.7

    2011, Vol.8

    2012, Vol.9

    2013, Vol.10

    2014, Vol.11

     

    Berkeley Business Law Journal, 2004, Vol.1

     

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    Margaret M. Blair

    Reforming Corporate Governance: What History Can Teach Us

    No.1

    pp. 1-44

     

    Stephen J. Choi

    A Framework for the Regulation of Securities Market Intermediaries

    No.1

    pp. 45-81

     

    A. C. Pritchard

    Tender Offers by Controlling Shareholders: The Specter of Coercion and Fair Price

    No.1

    pp. 83-111

     

    Merritt B. Fox

    Measuring Share Price Accuracy

    No.1

    pp. 113-135

     

    William A. Klein, Mitu Gulati

    Economic Organization in the Construction Industry: A Case Study of Collaborative Production under High Uncertainty

    No.1

    pp. 137-174

     

    Larry E. Ribstein

    Why Corporations?

    No.2

    pp. 183-232

     

    Brian R. Cheffins, Randall S. Thomas

    The Globalization (Americanization?) of Executive Pay

    No.2

    pp. 233-290

     

    Lucian Arye Bebchuk, Jesse M. Fried

    Stealth Compensation via Retirement Benefits

    No.2

    pp. 291-325

     

    Lawrence A. Cunningham

    A New Product for the State Corporation Law Market: Audit Committee Certifications

    No.2

    pp. 327-368

     

    Allen Ferrell

    Measuring the Effects of Mandated Disclosure

    No.2

    pp. 369-383

     

    Berkeley Business Law Journal, 2005, Vol.2

     

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    Paul S. Edwards, Mitu Gulati

    Foreword- The Klein Criteria Project

    No.1

    pp. 1-11

     

    William Klein

    Criteria for Good Laws of Business Association

    No.1

    pp. 13-24

     

    J. Mark Ramseyer

    Economizing Legal D- B8

    No.1

    pp. 25-33

     

    Edmund W. Kitch

    The Simplification of the Criteria for Good Corporate Law or Why Corporate Law Is Not As Important Anymore

    No.1

    pp. 35-38

     

    Tomotaka Fujita

    Criteria for Good Laws of Business Association: An Outsider's View

    No.1

    pp. 39-52

     

    Paul S. Edwards

    Organizing the Socio- Legal Study of Business Associations

    No.1

    pp. 53-58

     

    William W. Bratton

    Welfare, Dialectic, and Mediation in Corporate Law

    No.1

    pp. 59-76

     

    David A. Skeel

    Corporate Shaming Revisited: An Essay For Bill Klein

    No.1

    pp. 105-117

     

    Stewart Macaulay

    Klein and the Contradictions of Corporations Law

    No.1

    pp. 119-133

     

    Randall S. Thomas

    What is Corporate Law's Place in Promoting Societal Welfare?: An Essay in Honor of Professor William Klein

    No.1

    pp. 135-140

     

    Ronald J. Gilson

    Separation and the Function of Corporation Law

    No.1

    pp. 141-152

     

    Lawrence E. Mitchell

    Vulnerability and Efficiency (of What?)

    No.1

    pp. 153-165

     

    Melvin Aron Eisenberg

    The Architecture of American Corporate Law: Facilitation and Regulation

    No.1

    pp. 167-184

     

    Stephen M. Bainbridge

    Competing Concepts of the Corporation (a.k.a. Criteria? Just Say No)

    No.1

    pp. 77-93

     

    Robert B. Thompson

    Corporate Law Criteria: Law's Relation to Private Ordering

    No.1

    pp. 95-104

     

    Yoram Keinan

    Playing the Audit Lottery: The Role of Penalties in the U.S. Tax Law in the Aftermath of Long Term Capital Holdings v. United States

    No.1

    pp. 381-436

     

    Beverley Earle, Gerald A. Madek

    The New World of Risk for Corporate Attorneys and Their Boards Post- Sarbanes- Oxley: An Assessment of Impact and a Prescription for Action

    No.2

    pp. 185-232

     

    Georgette Chapman Poindexter

    Dequity- The Blurring of Debt and Equity in Securitized Real Estate Financing

    No.2

    pp. 233-261

     

    Sharon Hannes

    Private Benefits of Control, Antitakeover Defenses, and the Perils of Federal Intervention

    No.2

    pp. 263-313

     

    Daniele Marchesani

    The Concept of Autonomy and the Independent Director of Public Corporations

    No.2

    pp. 315-354

     

    Irit Haviv-Segal

    Bankruptcy Law and Inefficient Entitlements

    No.2

    pp. 355-398

     

    Berkeley Business Law Journal, 2005-2006, Vol.3

     

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    Marc I. Steinberg, Chris Claassen

    Attorney Liability Under the State Securities Laws: Landscapes and Minefields

    No.1

    pp. 1-42

     

    Lynn A. Stout

    Share Price as a Poor Criterion for Good Corporate Law

    No.1

    pp. 43-57

     

    Jonathan C. Lipson

    Price, Path and Pride: Third- Party Closing Opinion Practice Among U.S. Lawyers (A Preliminary Investigation)

    No.1

    pp. 59-127

     

    Andrea M. Matwyshyn

    Material Vulnerabilities: Data Privacy, Corporate Information Security, and Securities Regulation

    No.1

    pp. 129-203

     

    Brett H. McDonnell

    Shareholder Bylaws, Shareholder Nominations, and Poison Pills

    No.1

    pp. 205-264

     

    Adam J. Levitin

    The Antitrust Super Bowl: America's Payment Systems, No- Surcharge Rules, and the Hidden Costs of Credit

    No.2

    pp. 265-336

     

    Ann Morales Olazdbal

    Loss Causation in Fraud- on- the-Market Cases Post- Dura Pharmaceuticals

    No.2

    pp. 337-380

     

    Yoram Keinan

    Playing the Audit Lottery: The Role of Penalties in the U.S. Tax Law in the Aftermath of Long Term Capital Holdings v. United States

    No.2

    pp. 381-436

     

    Thanos Panagopoulos

    Thinking Inside The Box: Analyzing Judicial Scrutiny of Deal Protection Devices in Delaware

    No.2

    pp. 437-474

     

    Aden R. Pavkov

    Ghouls and Godsends? A Critique of "Reverse Merger" Policy

    No.2

    pp. 475-513

     

    Berkeley Business Law Journal, 2007. Vol.4

     

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    Richard A. Booth

    The End of the Securities Fraud Class Action as We Know It

    No.1

    pp. 1-36

     

    D. Daniel Sokol

    Monopolists Without Borders: The Institutional Challenge of International Antitrust in a Global Gilded Age

    No.1

    pp. 37-122

     

    James M. Falvey, Andrew N. Kleit

    Commodity Exchanges and Antitrust

    No.1

    pp. 123-176

     

    Daniel C. Davis

    Omnicare v. NCS Healthcare: A Critical Appraisal

    No.1

    pp. 177-203

     

    Cally Jordan, Pamela Hughes

    Which Way for Market Institutions: The Fundamental Question of Self- Regulation

    No.2

    pp. 205-226

     

    Hui Huang

    The Statutory Derivative Action in China: Critical Analysis and Recommendations for Reform

    No.2

    pp. 227-250

     

    Seth Spaulding Gomm

    In re Qwest Communications International, Inc.: The Tenth Circuit Hangs Up the Phone on Qwest's Petition for Selective Waiver, But the Line Is Not Dead

    No.2

    pp. 251-277

     

    Berkeley Business Law Journal, 2008. Vol.5

     

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    Jo Carrillo

    Dangerous Loans: Consumer Challenges to Adjustable Rate Mortgages

    No.1

    pp. 1-43

     

    Elise N. Rindfleisch

    Shareholder Proposals: A Catalyst for Climate Change- Related Disclosure, Analysis, and Action?

    No.1

    pp. 45-78

     

    Yaad Rotem

    Pursuing Preservation of Pre-Bankruptcy Entitlements: Corporate Bankruptcy Law's Self- Executing Mechanisms

    No.1

    pp. 79-130

     

    Michael E. Murphy

    The Nominating Process for Corporate Boards of Directors: A Decision-Making Analysis

    No.2

    pp. 131-193

     

    Dan W. Puchniak

    The Efficiency of Friendliness: Japanese Corporate Governance Succeeds Again without Hostile Takeovers

    No.2

    pp. 195-262

     

    Harwell Wells

    The Rise of the Close Corporation and the Making of Corporation Law

    No.2

    pp. 263-316

     

    Mo Zhang

    From Public to Private: The Newly Enacted Chinese Property Law and the Protection of Property Rights in China

    No.2

    pp. 317-363

     

    Berkeley Business Law Journal, 2009. Vol.6

     

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    Adam B. Badawi

    Interpretive Preferences and the Limits of the New Formalism

    No.1-2

    pp. 1-54

     

    Darren Rosenblum

    Feminizing Capital: A Corporate Imperative

    No.1-2

    pp. 55-95

     

    Michael Simkovic

    The Effect of Mandatory Disclosure on Open- Market Stock Repurchases

    No.1-2

    pp. 96-130

     

    Charles W. Murdock

    Corporate Corruption and the Complicity of Congress and the Supreme Court- The Tortuous Path from Central Bank to Stoneridge Investment Partners

    No.1-2

    pp. 131-215

     

    David Rosenberg

    Supplying the Adverb: The Future of Corporate Risk- Taking and the Business Judgment Rule

    No.1-2

    pp. 216-239

     

    Houman B. Shadab

    The Law and Economics of Hedge Funds: Financial Innovation and Investor Protection

    No.1-2

    pp. 240-297

     

    Daniel F. Spulber

    Discovering the Role of the Firm: The Separation Criterion and Corporate Law

    No.1-2

    pp. 298-347

     

    Berkeley Business Law Journal, 2010. Vol.7

     

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    John H. Matheson

    Why Courts Pierce: An Empirical Study of Piercing the Corporate Veil

    No.1

    pp. 1-71

     

    Vijay Sekhon

    Valuation of Reverse Termination Options in Mergers and Acquisitions

    No.1

    pp. 72-101

     

    Nan S. Ellis, Lisa M. Fairchild, Harold D. Fletcher

    The NYSE Response to Specialist Misconduct: An Example of the Failure of Self- Regulation

    No.1

    pp. 102-149

     

    Stephen Rushin

    Warning Labels and FCC Regulations: The New Legal and Business Frontier for Cell Phone Manufacturers

    No.1

    pp. 150-161

     

    Michael Serota

    (Mis) Interpreting SLUSA: Closing the Jurisdictional Loophole in Federal Securities Class Actions

    No.1

    pp. 162-175

     

    Berkeley Business Law Journal, 2011. Vol.8

     

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    Benito Arrunada, Amnon Lehavi

    Prime Property Institutions for a Subprime Era: Toward Innovative Models of Homeownership

    No.1

    pp. 1-34

     

    Robert F. Weber

    Combating the Teleological Drift of Life Insurance Solvency Regulation: The Case for a Meta- Risk Management Approach to Principles-Based Reserving

    No.1

    pp. 35-115

     

    Patrick J. Glen

    Law as Asymmetric Information: Theory, Application, and Results in the Context of Foreign Direct Investment in Real Estate

    No.1

    pp. 116-151

     

    Caitlin Hall

    The Death of a Defense: How Derivatives Spell the End of the Good Faith Defense to Fraudulent Transfer Actions in Business Bankruptcies

    No.1

    pp. 152-181

     

    William S. Haraf

    Systemic Risk and the Response to the Crisis

    No.2

    pp. 1-7

     

    Dwight M. Jaffee

    Bank Regulation and Mortgage Market Reform

    No.2

    pp. 8-28

     

    Erik F. Gerding

    Credit Derivatives, Leverage, and Financial Regulation's Missing Macroeconomic Dimension

    No.2

    pp. 29-73

     

    Mark Perlow

    Money Market Funds- Preserving Systemic Benefits, Minimizing Systemic Risks

    No.2

    pp. 74-101

     

    Steven E. Bochner

    The Impact of Regulatory Initiatives on Liquidity for Venture- Backed Companies

    No.2

    pp. 102-106

     

    Eric Alden

    Primum Non Nocere: The Impact of Dodd- Frank on Silicon Valley

    No.2

    pp. 107-127

     

    Mary J. Dent

    A Rose by Any Other Name: How Labels Get in the Way of U.S. Innovation Policy

    No.2

    pp. 128-163

     

    John D. Wright

    Dodd- Frank's "Abusive" Standard: A Call for Certainty

    No.2

    pp. 164-174

     

    John Pottow

    Ability to Pay

    No.2

    pp. 175-208

     

    Thomas P. Brown

    Disclosure- An Unappreciated Tool in the CFPB's Arsenal

    No.2

    pp. 209-218

     

    Gail Hillebrand

    The Consumer Financial Protection Bureau: Title X of the Dodd- Frank Wall Street Reform and Consumer Protection Act of 2010

    No.2

    pp. 219-224

     

    Berkeley Business Law Journal, 2012. Vol.9

     

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    Dan W. Puchniak

    The Derivative Action in Asia: A Complex Reality

    No.1

    pp. 1-28

     

    Nizan Geslevich Packin

    The Case Against the Dodd-Frank Act's Living Wills: Contingency Planning Following the Financial Crisis

    No.1

    pp. 29-93

     

    Faith Rivers James

    Nonprofit Pluralism and the Public Trust: Constructing a Transparent, Accountable, and Culturally Competent Board Governance Paradigm

    No.1

    pp. 94-138

     

    Eleanor Lumsden

    Securing Mobile Technology and Financial Transactions in the United States

    No.1

    pp. 139-185

     

    Carl J. Circo

    Teaching Transactional Skills in Partnership with the Bar

    No.2

    pp. 187-241

     

    Umakanth Varottil

    Microfinance and the Corporate Governance Conundrum

    No.2

    pp. 242-292

     

    Berkeley Business Law Journal, 2013. Vol.10

     

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    Ronald S. Betman, Jonathan R. Law

    The (Too) Long Arm of the S.E.C.: When a Foreign Employee of a U.S.- Based Multinational Financial Services Client Is Threatened With a Subpoena

    No.1

    pp. 1-14

     

    Mercer Bullard

    Caremark's Irrelevance

    No.1

    pp. 15-51

     

    Matthew A. Melone

    The Section 83 (b) Election and the Fallacy of "Earned Income"

    No.1

    pp. 53-113

     

    Josephine Sandler Nelson, Richard 0. Parry

    Protecting Employee Rights and Prosecuting Corporate Crime: A Proposal for Criminal Cumis Counsel

    No.1

    pp. 115-180

     

    David G. Yosifon

    The Law of Corporate Purpose

    No.2

    pp. 181-230

     

    Jeffrey M. Lipshaw

    Dissecting the Two- Handed Lawyer: Thinking Versus Action in Business Lawyering

    No.2

    pp. 231-286

     

    Sharon Oded

    Corporate Monitors: Overcoming the Classification Failure of Targeted Monitoring Systems

    No.2

    pp. 287-304

     

    Reid K. Weisbord

    Charitable Insolvency and Corporate Governance in Bankruptcy Reorganization

    No.2

    pp. 305-362

     

    Ian K. Peck

    Is Self- Regulation the Answer? Assessing the Proposal for FINRA' Oversight of Investment Advisers

    No.2

    pp. 363-390

     

     

    Berkeley Business Law Journal, 2014. Vol.11

     

    Author

    Title

    number

    Page to Page

     

    Hamann, Hanjo

    Unpacking the Board A Comparative and Empirical Perspective on Groups in Corporate Decision-Making

    No.1

    pp. 1-54

     

    Jeffries, Browning

    The Plaintiffs' Lawyer's Transaction Tax: The New Cost of Doing Business in Public Company Deals

    No.1

    pp. 55-111

     

    Cheng, Thomas K.

    An Economic Analysis of Limited Shareholder Liability in Contractual Claims

    No.1

    pp. 113-181

     

    Duff, Arthur W.S.

    Central Bank Independence and Macroprudential Policy: A Critical Look at the U.S. Financial Stability Framework

    No.1

    pp. 183-220

     

    Berkeley Business Law Journal, 2015. Vol.12

     

    Author

    Title

    number

    Page to Page

     

    Mitchell, Jay A.

    Putting some product into work- product: corporate lawyers learning from designers

    No.1

    pp. 1-44

     

    Dawson, Andrew B.

    The Problem of Local Methods in Cross- Border Insolvencies

    No.1

    pp. 45-80

     

    Vaheesan, Sandeep

    Reconsidering Brooke Group: Predatory Pricing in Light of the Empirical Learning

    No.1

    pp. 81-110

     

    Cross, Karen Halverson

    The Extraterritorial Reach of Sovereign Debt Enforcement

    No.1

    pp. 111-143

     

    Lan, Gil

    Insights from China for the United States: Shadow Banking, Economic Development, and Financial Systems

    No.1

    pp. 144-195









     


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