*These publications were selected for their online availability and do not represent this faculty member's full catalog of work.
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The Costs of Being Public After Sarbanes-Oxley: The Irony of 'Going Private' Emory Law and Economics Research Paper No. 06-03, Emory Law Journal, Vol. 55, p. 141, 2006
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On Feminism, Politics, and Rhetoric 54 Emory L.J. 261 2005
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The Costs of Being Public After Sarbanes-Oxley: The Irony of 'Going Private' Emory Law and Economics Research Paper No. 05-4 2005
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Will Choice of Corporate Law Become Trivial? Emory Law and Economics Research Paper No. 06-05 2005
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Business Law: The Impact of Competition on Regulation - Introduction 52 Emory L.J. 1285 2003
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The Illusory Protections of the Poison Pill Notre Dame Law Review, Vol. 78, No. 4, 2003 2003
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Appraising the Nonexistent: The Delaware Courts' Struggle with Control Premiums 152 U. Pa. L. Rev. 845 2003
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Appraising the Non-Existent: The Delaware Courts' Struggle with Control Premiums University of Pennsylvania Law Review, Vol. 152, 2003
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The Randolph W. Thrower Symposium: Business Law: The Impact of Competition on Regulation - Introduction Emory Law Journal, Vol. 52, p. 1053, 2003
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The Illusory Protections of the Poison Pill 79 Notre Dame L. Rev. 179 2003
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The Illusory Protections of the Poison Pill 2002
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Roundtable Discussion: Corporate Governance As published in Chicago-Kent Law Review, Vol. 77, pp. 235-49, 2001 2002
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Jurisdictional Choice in Securities Regulation 41 Va. J. Int'l L. 717 2000
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The Legacy of the Market for Corporate Control and the Origins of the Theory of the Firm 50 Case W. Res. L. Rev. 215 1999
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Teaching Problems in Corporate Law: Making It Real 34 Ga. L. Rev. 823 1999
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The Production of Corporate Law Southern California Law Review, Vol. 71, No. 2 1998
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Limited Liability 1998
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The Production of Corporate Law 71 S. Cal. L. Rev. 715 1997
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Two Modes of Discourse in the Stakeholder Debate 43 U. Toronto L.J. 379 1993
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Vicarious Liability for Fraud on Securities Markets: Theory and Evidence 1992 U. Ill. L. Rev. 691 1992
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ALI's Corporate Governance Project: The Death of Property Rights 61 Geo. Wash. L. Rev. 898 1992
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Does Defying Constituencies Matter 59 U. Cin. L. Rev. 385 1990
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The Limits of the Fraud on the Market Doctrine 44 Bus. Law. 1259 1988
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From Stakeholders to Stockholders: A View from Organizational Theory 1997
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The Production of Corporate Law 1997
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Limited Liability Companies: Origins and Antecedents 66 U. Colo. L. Rev. 855 1994
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Fairness Opinions: How Fair are They and Why Should We Do Nothing About It 70 Wash. U. L. Q. 523 1992
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Section 4.01 of the American Law Institute's Corporate Governance Project: Restatement or Misstatement 66 Wash. U. L. Q. 239 1988
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Controlling Management Opportunism in the Market for Corporate Control: An Agency Cost Model 1988 Wis. L. Rev. 385 1988
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Changes in Corporate Practice under Georgia's New Business Corporation Code 40 Mercer L. Rev. 655 1988
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The Theory of the Firm: Investor Coordination Costs, Control Premiums and Capital Structure 65 Wash. U. L. Q. 1 1987
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Signalling and Causation in Insider Trading 36 Catholic U. L. Rev. 863 1986
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Toward a More Perfect Market for Corporate Control 9 Del. J. Corp. L. 593 1984
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Defining a Security: The Addition of a Market-Oriented Contextual Approach to Investment Contract Analysis 33 Emory L. J. 311 1984
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Shareholder Coordination Costs, Shark Reppelents, and Takeout Mergers: The Case against Fiduciary Duties 1983 Am. B. Found. Res. J. 341 1983
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Defining a Security: Georgia's Struggle with the Risk Capital Test 30 Emory L. J. 73 1981
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Fundamental Corporate Changes, Minority Shareholders, and Business Purposes 1980 Am. B. Found. Res. J. 69 1980
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Close Corporations and the Wyoming Business Corporation Act: Time for a Change 12 Land & Water L. Rev. 537 1977
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The Perils of Rule 146 8 U. Tol. L. Rev. 343 1976
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Exemptions from Securities Registration for Small Issuers: Shifting from Full Disclosure - Part II: The Intrastate Offering Exemption and Rule 147 11 Land & Water L. Rev. 161 1976
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Exemptions from Securities Registration for Small Issuers: Shifting from Full Disclosure - Part III: The Small Offering Exemption and Rule 240 11 Land & Water L. Rev. 483 1976
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Exemptions from Securities Registration for Small Issuers: Shifting from Full Disclosure - Part I: The Private Offering Exemption, Rule 146 and an End to Access for Small Issuers 10 Land & Water L. Rev. 507 1975
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