Barbara’s article, Arbitration of Investors’ Claims against Issuers: An Idea Whose Time Has Come?, 75 Law & Contemp. Probs. 107 (2012), is now in print.
Several of Barbara’s publications were cited:
- Sec. Law Prof Blog, 42 Law Profs Support Extending Dodd-Frank’s Extraterritorial Test to Private Claims, (Feb. 28, 2011), in Jennifer Wu, Student Author, Morrison v. Dodd-Frank: Deciphering the Congressional Rebuttal to the Supreme Court’s Ruling, 14 U. Pa. J. Bus. L. 317 (2011);
- How to Improve Retail Investor Protection after the Dodd-Frank Wall Street Reform and Consumer Protection Act, 13 U. Pa. J. Bus. L. 59 (2010), in Nicholas S. Di Lorenzo, Student Author, Defining a New Punctilio of an Honor: The Best Interest Standard for Broker-Dealers, 92 B.U. L. Rev. 291 (2012);
- Is Securities Arbitration Fair to Investors? 25 Pace L. Rev. 1 (2004), in Lawrence A. Cunningham, Rhetoric Versus Reality in Arbitration Jurisprudence: How the Supreme Court Flaunts and Flunks Contracts, 75 Law & Contemp. Probs. 129 (2012);
- Should the SEC be a Collection Agency for Defrauded Investors?, 63 Bus. Law. 317 (2008), in Joseph A. Franco, Of Complicity and Compliance: A Rules-Based Anti-Complicity Strategy under Federal Securities Law, 14 U. Pa. J. Bus. L. 1 (2011);
- Should the SECB Be a Collection Agency for Defrauded Investors?, 63 Bus. Law. 317 (2008), in Hannah L. Buxbaum, Remedies for Foreign Investors under U.S. Federal Securities, 75 Law & Contemp. Probs. 162 (2012);
- Tattlers and Trail Blazers: Attorneys’ Liability for Clients’ Fraud, 46 Washburn L.J. 91 (2006), in Elizabeth Cosenza, Is the Third Time the Charm? Janus and the Proper Balance between Primary and Secondary Actor Liability under Section 10(b), 33 Cardozo L. Rev. 1019 (2012); and
- When Perception Changes Reality: An Empirical Study of Investors’ Views of the Fairness of Securities Arbitration, 2008 J. Dis. Res. 349 (with Jill Gross), in Nicholas S. Di Lorenzo, Student Author, Defining a New Punctilio of an Honor: The Best Interest Standard for Broker-Dealers,92 B.U. L. Rev. 291 (2012).
Barbara recently completed a draft of a paper, ‘The SEC and the Foreign Corrupt Practices Act: Combating Global Corruption is Not the SEC’s Mission,’ which can be found on SSRN at http://papers.ssrn.com/sol3/papers.cfm?abstract_id=2009991. The paper is a work in progress and will be presented at the March 16 Ohio State Law Journal Symposium on The FCPA (Foreign Corrupt Practices Act) at Thirty Five and its Impact on Global Business.