Volume 35: Fall 2015 – Spring 2016
INTRODUCTION
Introduction and Table of Contents
ISSUE I – FALL 2015
DEVELOPMENT ARTICLES
Ryan Corn, The Impact of the Federal Reserve’s New Risk-Based Capital Surcharges, 35 REV. BANKING & FIN. L. 2 (2015).
Will Simpson, The Greek Default and Subsequent Bailout Deal, 35 REV. BANKING & FIN. L. 10 (2015).
Mary Grace Patterson, Starr International Co. v. United States: The AIG Bailout Ruling, 35 REV. BANKING & FIN. L. 19 (2015).
Rama Attreya, FOREX Scandal: Top Banks Face Antitrust Fines, 35 REV. BANKING & FIN. L. 34 (2015).
Gary Spencer, Financial Beasts: How Breeding Unicorns May Bring Big Consequences, 35 REV. BANKING & FIN. L. 47 (2015).
Alexandra Youngblood, Aftermath of the LIBOR Scandal, 35 REV. BANKING & FIN. L. 57 (2015).
Brittany Cohen, Marijuana Dispensaries Not Feeling So High: Financial Institutions Close Their Doors to State-Legalized Marijuana Businesses, 35 REV. BANKING & FIN. L. 72 (2015).
Emily Lee, CFPB Investigates Student Loan Servicing Practices, 35 REV. BANKING & FIN. L. 84 (2015).
Tessa Stillings, Are the SEC’s Administrative Law Courts Constitutional?: Recent Developments in the SEC’s Increased Use of Administrative Proceedings, 35 REV. BANKING & FIN. L. 96 (2015).
Todd M. Hirsch, The SEC Adopts New Pay Ratio Rule, 35 REV. BANKING & FIN. L. 107 (2015).
Matthew B. Hilowitz, SEC Enforcement Efforts with Insider Trading and Cybersecurity, 35 REV. BANKING & FIN. L. 120 (2015).
Frank Pustorino, NASDAQ and the Facebook IPO Settlement: Self- Regulatory Organizations and the Potential for Liability, 35 REV. BANKING & FIN. L. 132 (2015).
Mark Lipshculz, The CoCo Compromise: Banks, Investors, and Regulators Settle for a Debt-Equity Hybrid as a Source of Capital, 35 REV. BANKING & FIN. L. 141 (2015).
Matthew Freedman, Rise in SEC Dark Pool Fines, 35 REV. BANKING & FIN. L. 150 (2015).
ARTICLES
Florence Wagman Roisman, Securing Judicial Review Under the Administrative Procedure Act of Denials of Modifications of Mortgages Held by Fannie Mae and Freddie Mac, 35 REV. BANKING & FIN. L. 162 (2015).
Kevin M. McDonald, Who’s Policing the Financial Cop on the Beat? A Call for Judicial Review of the Consumer Financial Protection Bureau’s Non-Legislative Rules, 35 REV. BANKING & FIN. L. 224 (2015).
Joel Slawotsky, Hedge Fund Activism in an Age of Global Collaboration and Financial Innovation: The Need for a Regulatory Update of United States Disclosure Rules, 35 REV. BANKING & FIN. L. 272 (2015).
NOTES
Graham Rogers, Note, Much Ado About Nothing: Why the Equity Crowdfunding Exemption Will Only Be Useful to a Few, and What To Do About It, 35 REV. BANKING & FIN. L. 335 (2015).
Daniel R. Warren, Note, Stress Fractures: The Need to Stop and Repair the Growing Divide in Circuit Court Application of Summary Judgment in Antitrust Litigation, 35 REV. BANKING & FIN. L. 380 (2015).
ISSUE II – SPRING 2016
DEVELOPMENT ARTICLES
Taylor Tremble, III’s a Crowd: The Implementation of the JOBS Act’s Title III Crowdfunding Provisions, 36 REV. BANKING & FIN. L. 416 (2016).
Jaime Ma, Protecting the U.S. Commodities Market: CFTC Weighs in with New and Improved Final Swap Margin Rules, 36 REV. BANKING & FIN. L. 427 (2016).
Devin Spencer, Lost in Capitalization: Examining Potentially Contradictory Policies on Commercial Real Estate Lending, 36 REV. BANKING & FIN. L. 449 (2016).
Patrick T. Gilmartin, Multibank Settlements in CDS Manipulation Suit, 36 REV. BANKING & FIN. L. 470 (2016).
Cristina Jaramillo, The Revolt Against High-Frequency Trading: From Flash Boys, to Class Actions, to IEX, 36 REV. BANKING & FIN. L. 482 (2016).
Koya Choi, RBC Capital Markets, LLC v. Jervis: Implications for M&A Adviser Liability, 36 REV. BANKING & FIN. L. 498 (2016).
Nicholas Quinby, SEC Regulation of EB-5 Investment, 36 REV. BANKING & FIN. L. 518 (2016).
Evan A. Johnson, Revisions to the Federal Reserve’s Emergency Lending Rules, 36 REV. BANKING & FIN. L. 530 (2016).
Jason Roche, Fixing America’s Surface Transportation Act, 36 REV. BANKING & FIN. L. 550 (2016).
Steven Garza, Does New Legislation Mean the End of Profitable REIT Spinoffs?, 36 REV. BANKING & FIN. L. 562 (2016).
Chris Dailey, Financing Approved for the EU’s “Single Resolution” Fund, 36 REV. BANKING & FIN. L. 575 (2016).
Michael Sherlock, Digital Securities: Overstock.com and Beyond, 36 REV. BANKING & FIN. L. 586 (2016).
Matthew Schwartz, Closing the Loophole on Hizballah’s Funding, 36 REV. BANKING & FIN. L. 597 (2016).
Harrison Freeman, The Sudden Rise in the Federal Reserve’s Discount Rate, 36 REV. BANKING & FIN. L. 607 (2016).
SYMPOSIUM
Dodd-Frank, The Volcker Rule, and the Future of Banking in America, 36 REV. BANKING & FIN. L. 621 (2016).
ARTICLES
Wulf A. Kaal, The Private Fund Industry Five Years After the Dodd-Frank Act – A Survey Study, 36 REV. BANKING & FIN. L. 624 (2016).
John L. Walker, Emergency Tools to Contain a Financial Crisis, 36 REV. BANKING & FIN. L. 672 (2016).
Maria Slobodchikova, Private Right of Action in Transactions with Cross-Border Security-Based Swaps, 36 REV. BANKING & FIN. L. 739 (2016).
Angela M. Diieno, Government Housing Policy and the Failure of the GSEs, 36 REV. BANKING & FIN. L. 782 (2016).