Regulation of Financial Markets and Business Organizations

Policy Shock: Regulatory Responses to Oil Spills, Nuclear Accidents, and Financial Meltdowns (Cambridge University Press, 2017) (editor with Edward J Balleisen, Lori S Bennear, & Jonathan Wiener)

The Volcker Rule: A Brief Political History, 10 Capital Markets Law Journal 507-522 (2015) (with Guangya Liu)

Agency Lobbying and Financial Reform: A Volcker Rule Case Study, 32 Banking & Financial Services Policy Report 15-22 (August 2013)

Don’t ‘Screw Joe the Plummer’: The Sausage-Making of Financial Reform, 55 Arizona Law Review 53-103 (2013)

Operational Risk Management: An Emergent Industry, in Operational Risk Towards Basel III: Best Practices and Issues in Modeling, Management and Regulation 271 (G.N. Gregoriou ed., John Wiley & Sons 2009)

The Return of the Rogue, 51 Arizona Law Review 127-174 (2009)

Cosmetic Compliance and the Failure of Negotiated Governance, 81 Washington University Law Quarterly487-544 (2003)

Derivatives on TV: A Tale of Two Derivatives Debacles in Prime Time, 4 Green Bag 2d 257-267 (2001) (with Peter H. Huang & Frank Partnoy)

Fairness, Efficiency and Insider Trading: Deconstructing the Coin of the Realm in the Information Age, 95Northwestern University Law Review 443-503 (2001)

Foreword: The Regulation of Derivatives and Other Complex Financial Products, 21 Northwestern Journal of International Law & Business 565-571 (2001)

Privatizing “Outsider Trading, 41 Virginia Journal of International Law 693-715 (2001)

Accounting for Greed: Unraveling the “Rogue Trader” Mystery, 79 Oregon Law Review 301-338 (2000)

Derivatives, Corporate Hedging and Shareholder Wealth: Modigliani-Miller Forty Years Later, 1998 University of Illinois Law Review 1039-1104

Don’t Ask, Just Tell: Insider Trading After United States v. O’Hagan, 84 Virginia Law Review 153-228 (1998) (with Richard Painter & Cindy Williams)

Corporate Debt Restructurings in Mexico: For Foreign Creditors, Insolvency Law Is Only Half the Story, 17New York Law School Journal of International & Comparative Law 481-486 (1997)

Fiduciaries, Misappropriators and the Murky Outlines of the Den of Thieves: A Conceptual Continuum for Analyzing United States v. O’Hagan, 33 Tulsa Law Journal 163-175 (1997)

More Than Just New Financial Bingo: A Risk-based Approach to Understanding Derivatives, 23 Journal of Corporation Law 1-63 (1997)

Gustafson v. Alloyd Co.: The Wrong Decision, But it is Still Business As Usual in the Securities Markets, 31 Tulsa Law Journal 509-520 (1996)