Volume 28: Fall 2008 – Spring 2009

Issue I – Fall 2008

Developments in Banking and Financial Law, 28 Ann. Rev. Banking & Fin. L. 1 (2008).

Articles

John M. Greabe, Michael J. Brickman, James C. Bradley & Nina H. Fields, Moving BeyondGartenberg: A Process-Based and Comparative Approach to § 36(b) of the Investment Company Act of 1940, 28 Ann. Rev. Banking & Fin. L. 133 (2008).

Thomas C. Pearson, When Hedge Funds Betray a Creditor Committee’s Fiduciary Role: New Twists on Insider Trading in the International Financial Markets, 28 Ann. Rev. Banking & Fin. L. 165 (2008).

Remarks

Eric S. Rosengren, Bank Supervision and Central Banking: Understanding Credit During a Time of Financial Turmoil, 28 Ann. Rev. Banking & Fin. L. 221 (2008).

Edited Proceedings

Paul S. Atkins, Stephen Bainbridge, Edmund Kitch, Jonathan R. Macey & George J. Terwilliger III, Panel on the SEC and the Financial Services Crisis OF 2008, 28 Ann. Rev. Banking & Fin. L. 237 (2008).

Notes

Jeffrey D. Russell, Somewhere Under the Rainbow: The Journey Toward Charitable Property Tax Exemption Solutions, 28 Ann. Rev. Banking & Fin. L.265 (2008).

Y. Nancy Ni, China’s Capital Flow Regulations: the Qualified Foreign Institutional Investor and the Qualified Domestic Institutional Investor Programs, 28 Ann. Rev. Banking & Fin. L. 299 (2008).

Reprinted Article

David I. Michaels, No Fraud? No Problem: Outside Director Liability for Shelf Offerings Under Section 11of the Securities Act of 1933, 28 Ann. Rev. Banking & Fin. L. 339 (2008).