Volume 32: Fall 2012 – Spring 2013
ISSUE I – FALL 2012
DEVELOPMENT ARTICLES
The LIBOR Scandal, 32 REV. BANKING & FIN. L. 2 (2012).
Toward an EU Banking Union, 32 REV. BANKING & FIN. L. 13 (2012).
The Collapse of MF Global and Peregrine Financial Group: The Response from the Futures Industry, Regulators, and Customers, 32 REV. BANKING & FIN. L. 25 (2012).
Crowdfunding America’s Small Businesses After the JOBS Act of 2012, 32 REV. BANKING & FIN. L. 38 (2012).
JOBS Act—Modifications to Pre- and Post-IPO Process for “Emerging Growth Companies,” 32 REV. BANKING & FIN. L. 50 (2012).
High Frequency Trading, 32 REV. BANKING & FIN. L. 62 (2012).
The Municipal Securities Market: How Increasing the Unfunded Ratios of Public Pension Plans Can Be a Good Thing, 32 REV. BANKING & FIN. L. 75 (2012).
Investigating Consummated Mergers: The Antitrust Agencies’ Shift Toward a Retroactive Enforcement Policy, 32 REV. BANKING & FIN. L. 88 (2012).
ARTICLES
Paul T. Clark, Just Passing Through: A History and Critical Analysis of FDIC Insurance of Deposits Held by Brokers and Other Custodians, 32 REV. BANKING & FIN. L. 99 (2012).
Steven L. Schwarcz, Shadow Banking, Financial Markets, and the Real Estate Sector, 32 REV. BANKING & FIN. L. 179 (2012).
Susan Payne Carter & Paige Marta Skiba, Pawnshops, Behavioral Economics, and Self-Regulation, 32 REV. BANKING & FIN. L. 193 (2012).
ISSUE II – SPRING 2013
DEVELOPMENT ARTICLES
Closing the Book on Argentina’s Sovereign Debt Default: The Second Circuit’s Decision and Its Ramifications for Sovereign Debt Restructuring in the Eurozone, 32 REV. BANKING & FIN. L. 222 (2013).
Regulation FD and Social Media, 32 REV. BANKING & FIN. L. 234 (2013).
Expert Networks and Insider Trading: An Introduction and Recommendation, 32 REV. BANKING & FIN. L. 245 (2013).
Don’t Ask, Don’t Waive Standstill Agreements, 32 REV. BANKING & FIN. L. 265 (2013).
Activist Short Sellers: Market Manipulators or Market Protectors?, 32 REV. BANKING & FIN. L. 274 (2013).
The 2012 Mortgage Settlement with Large Banks, 32 REV. BANKING & FIN. L. 286 (2013).
Securities Transaction Taxes: Should the Legislature Act as Robin Hood?, 32 REV. BANKING & FIN. L. 297 (2013).
Money Market Fund Reform and The Financial Stability Oversight Council, 32 REV. BANKING & FIN. L. 308 (2013).
ARTICLES
Adam J. Levitin, The Consumer Financial Protection Bureau: An Introduction, 32 REV. BANKING & FIN. L. 321 (2013).
Manuel A. Utset, Financial System Engineering, 32 REV. BANKING & FIN. L. 371 (2013).
NOTES
Nicholas Cassidy, Note, The Fair Housing Act, Disparate Impact, and the Ability-to-Repay: A Compliance Dilemma for Mortgage Lenders, 32 REV. BANKING & FIN. L. 431 (2013).
Jenny Small, Note, Financing Native Nations: Access to Capital Markets, 32 REV. BANKING & FIN. L. 463 (2013).
Nathan A. Hertzog, Note, Passive Claims Trading, the Unsophisticated Creditor, and Online Exchanges as a Market Remedy, 32 REV. BANKING & FIN. L. 511 (2013).
Garrett F. Bishop & Michael A. Coffee, Note, A Tale of Two Commissions: A Compendium of the Cost-Benefit Analysis Requirements Faced by the SEC & CFTC, 32 REV. BANKING & FIN. L. 565 (2013).