Print Comment 80.4 I Didn't Do It: Third-Party Debtors and the Securities Law Violation Exception to Discharge Hillel Nadler AB 2011, Harvard College; JD Candidate 2014, The University of Chicago Law School Bankruptcy Financial Regulation Remedies Securities Law
Online Comment 81.2 All out of Chewing Gum: A Case for a More Coherent Limitations Period for ERISA Breach-of-Fiduciary-Duty Claims Raphael Janove BA 2009, American University; JD Candidate 2014, The University of Chicago Law School Consumer Law Contract Law Financial Regulation Labor Law Securities Law
2 Comment 82.3 Too Fast, Too Frequent? High-Frequency Trading and Securities Class Actions Tara E. Levens BA 2012, The University of Chicago; JD Candidate 2016, The University of Chicago Law School Business Organizations Class Actions Financial Regulation Securities Law
Print Article 83.1 Safe Banking: Finance and Democracy Adam J. Levitin Professor of Law, Georgetown University Law Center Business Organizations Financial Regulation Securities Law
2 Comment 82.4 Seeking “the SEC’s Full Protection”: A Critique of the New Frontier in Municipal Securities Enforcement Maggie Guidotti BA 2010, University of Virginia; JD Candidate 2016, The University of Chicago Law School Business Organizations Federalism Financial Regulation Securities Law