ISSN 0024-7081
Vol. 45, Issue 3, 2014January 01, 2014 CDT
ccby-4.0
Around the World of Securities Fraud in Eighty Motions to Dismiss
Around the World of Securities Fraud in Eighty Motions to Dismiss
Articles in Vol. 45, Issue 3, 2014
Vol. 45, Issue 3, 2014
- When Good Leaders Lose Their WayMark Whitacre
- Are SOX and Dodd-Frank Securities Law? The Answer is Up in the AirGeoffrey Christopher Rapp
- Around the World of Securities Fraud in Eighty Motions to DismissWendy Gerwick Couture
- Confidential Informants and Securities Class Actions: Mixed Messages and MotivesJed S. Rakoff
- Recanting Confidential Witnesses in Securities LitigationGideon Mark
- Pleading Securities Fraud Claims--Only Part of the StoryMarc I. Steinberg
- The Private Securities Litigation Reform Act and Particularity: Why Are Some Courts in an Alternate Universe?Charles W. Murdock
- Pleading Securities Fraud Claims: The Good, The Bad, and The UglySharon NellesHilary Huber
- The Virtues of Private Securities Litigation: An Historic and Macroeconomic PerspectiveSteven A. Ramirez
- The Importance of the Prefiling Phase for Securities-Fraud LitigationJohn M. Wunderlich
- Oil and Water: Mixing Taxable and Tax-Exempt Shareholders in Mutual FundsJeffrey M. Colon
- Inclusionary Eminent DomainGerald S. Dickinson
Wendy Gerwick Couture, Around the World of Securities Fraud in Eighty Motions to Dismiss, 45 Loy. U. Chi. L.J. 553 (2014).