Nancy J. MooreFind articles in: SSRN, Hein (BU users), Hein, Lexis, Westlaw PublicationsGoto earliest | 1980s | 1990s | 2000s Forthcoming"The Complexities of Lawyer Ethics Code Drafting: The Contributions of Professor Fred Zacharias," San Diego Law Review (forthcoming). 2010"The Absence of Legal Ethics in the ALI's Principles of Aggregate Litigation: A Missed Opportunity - And More," 79 George Washington Law Review 717 (2010). "Is the Appearance of Impropriety an Appropriate Standard for Disciplining Judges in the Twenty-First Century?" 41 Loyola University of Chicago Law Journal 285 (2010). "Mens Rea Standards in Lawyer Disciplinary Codes," 23 Georgetown Journal of Legal Ethics 1 (2010). 2009"Choice of Law for Professional Responsibility Issues in Aggregate Litigation," in Symposium on Complexity and Aggregation in Choice of Law, 14 Roger Williams University Law Review 73 (2009). "Litigators and the Public: The Evolving Role of Ethics Codes," in A Century of Legal Ethics: Trial Lawyers and the ABA Canons of Professional Ethics 223, L. J. Fox, S. R. Martyn & A. S. Pollis, eds., ABA Section of Litigation (2009). 2008"The American Law Institute's Draft Proposal to Bypass the Aggregate Settlement Rule: Do Mass Tort Clients Need (or Want) Group Decision Making?" in Symposium on Challenges to the Attorney-Client Relationship: Threats to Sound Advice, 57 DePaul Law Review 395 (2008). 2007"Mr. Prinzo's Breakthrough and the Limits of Confidentiality," 51 St. Louis Law Journal 1059 (2007). 2006"Informed Consent in the Practice of Law," in 4 Encyclopedia of Philosophy 680, 2d ed., MacMillan Reference USA (2006). 2005"Regulating Law Firm Conflicts in the 21st Century: Implications of the Globalization of Legal Services and the Growth of the 'Mega Firm’," review of Janine Griffiths-Baker, Serving Two Masters: Conflicts of Interest in the Modern Law Firm, Hart Publishing (2002), 18 Georgetown Journal of Legal Ethics 521 (2005). 2004"Not Quite a Client: New Ethics Rule Provides Guidance on a Lawyer's Duty to Prospective Clients," 90 American Bar Association Journal 50 (Jan. 2004). 2003"Regulating Self-Referrals and Other Physician Conflicts of Interest," 15 HEC Forum 133 (2003). "Who Should Regulate Class Action Lawyers?" in Symposium on Ethics 2000 and Beyond: Reform or Professional Responsibility as Usual?, 2003 University of Illinois Law Review 1477 (2003). 2002"'In the Interests of Justice': Balancing Client Loyalty and the Public Good in the Twenty-First Century," 70 Fordham Law Review 1775 (2002). "Lawyer Ethics Code Drafting in the Twenty-First Century," 30 Hofstra Law Review 923 (2002). "Revisions, Not Revolution: Targeting Lawyer/Client Relations, Electronic Communications, Conflicts of Interests," 88 American Bar Association Journal 48 (Dec. 2002). 2001"Lawyering for the Middle Class," in Symposium on Lawyering for the Middle Class, 70 Fordham Law Review 623 (2001). [Forward] "What Doctors Can Learn from Lawyers About Conflicts of Interest," 81 Boston University Law Review 445 (2001). 2000"Ethics Matters, Too: The Significance of Professional Regulation of Attorney Fees and Costs in Mass Tort Litigation - A Response to Judith Resnik," in Symposium on Mass Torts, 148 University of Pennsylvania Law Review 2209 (2000). [Judith Resnick, "Money Matters: Judicial Market Interventions Creating Subsidies and Awarding Fees and Costs in Individual and Aggregate Litigation," 148 University of Pennsylvania Law Review 2119 (2000).] 1999"The Case Against Changing the Aggregate Settlement Rule in Mass Tort Lawsuits," 41 South Texas Law Review 149 (1999). "The Ethical Role and Responsibilities of a Lawyer-Ethicist: The Case of the Independent Counsel's Independent Counsel," 68 Fordham Law Review 771 (1999). 1998"Conflicts of Interest For In-House Counsel: Emerging Issues in the Expanding Role of the Attorney-Employee," 39 South Texas Law Review 497 (1998). 1997"The Ethical Duties of Insurance Defense Lawyers: Are Special Solutions Required?" in Symposium on Liability Insurance Conflicts and Professional Responsibility, 4 Connecticut Insurance Law Journal 259 (1997-98). "Ethical Issues in Third Party Payment: Beyond the Insurance Defense Paradigm," in Symposium on Conflicts of Interest (Symposium): Ethics, Law, and Remedies, 16 Review of Litigation 585 (1997). "Restating the Law of Lawyer Conflicts," 10 Georgetown Journal of Legal Ethics 541 (1997). 1996"Conflicts of Interests in the Representation of Children," in Symposium Conference on Ethical Issues in the Legal Representation of Children, 64 Fordham Law Review 1819 (1995-96). "Implications of Circle Chevrolet for Attorney Malpractice and Attorney Ethics," 28 Rutgers Law Journal 57 (1996). 1995"Entrepreneurial Doctors and Lawyers: Regulating Business Activities in the Medical and Legal Professions," in Conflicts of Interest in Medical Practice 171, R. Spence & R. Shimm, eds., Oxford University Press (1995). 1994"Expanding Duties of Attorneys to 'Non-Clients': Reconceptualizing the Attorney-Client Relationship in Entity Representation and Other Inherently Ambiguous Situations," 45 South Carolina Law Review 659 (1994). 1992"Intra-Professional Warfare Between Prosecutors and Defense Attorneys: A Plea for an End to the Current Hostilities," 53 University of Pittsburgh Law Review 515 (1992). 1990"Professionalism: Rekindled, Reconsidered or Reformulated?" 19 Capital University Law Review 1121 (1990). 1989"Author's Response," in Symposium Proceedings and Papers of the Conference on Legal Ethics: The Social Responsibility of the Lawyer, 1989 Annual Survey of American Law 37 (1989). [Response to Judge Edmund B. Spaeth, Jr., "Comments on Professor Moore's Paper," 1989 Annual Survey of American Law 23 (1989).] "The Usefulness of Ethical Codes," in Symposium The Proceedings and Papers of the Conference on Legal Ethics: The Social Responsibility of the Lawyer, 1989 Annual Survey of American Law 7 (1989). 1988"'Two Steps Forward, One Step Back': An Analysis of New Jersey's Latest 'Right-To-Die' Decisions," 19 Rutgers Law Journal 955 (1988). 1987"Professionalism Reconsidered," 1987 ABF Research Journal 773 (1987). 1985"Commentary," 4 Business & Professional Ethics Journal 83 (1985). "Limits to Attorney-Client Confidentiality: A Philosophically Informed and Comparative Approach to Medical and Legal Ethics," 36 Case Western Reserve Law Review 177 (1985-86). 1982"Conflicts of Interest in the Simultaneous Representation of Multiple Clients: A Proposed Solution to the Current Confusion and Controversy," 61 Texas Law Review 211 (1982). 1979"Disqualification of an Attorney Representing Multiple Witnesses Before a Grand Jury: Legal Ethics and the Stonewall Defense," 27 UCLA Law Review 1 (1979). |