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Current Issue
Jan. 2013, Vol. 65, No. 1
Articles
David Haddock, Tonja Jacobi, & Matthew Sag, League Structure &Stadium Rent Seeking— the Role of Antitrust Revisited
Steven J. Cleveland, Resurrecting Deference to the Securities and Exchange Commission: Mark Cuban Trading on Inside information
Janai S. Nelson, The First Amendment, Equal Protection and Felon Disenfranchisement: A New Viewpoint
Sergio J. Campos, Erie as a Choice of Enforcement Defaults
Hanah Metchis Volokh, Constitutional Authority Statements in Congress
Sapna Kumar, The Accidental Agency?
Christian Turner, State Action Problems
Tag Archives: fiduciary duty
Melanie B. Leslie, The Wisdom of Crowds? Groupthink and Nonprofit Governance
62 Fla. L. Rev. 1179 (2010)| | | | ABSTRACT :: Scandals involving nonprofit boards and conflicts of interest continue to receive considerable public attention. Earlier this year, for example, musician Wyclef Jean’s Yele Haiti charity became the target of … Continue reading
Posted in Business & Corporate Law, Estates & Trusts Law, Governments and Legislation, Uncategorized
Tagged Crowds, directors, disclosure of conflicts, fiduciary duty, flat prohibition, fuzzy standards, Groupthink, inside transactions, investigation of alternatives, Leslie, Nonprofit Governance, relationships, scandals, self-dealing, Social Norms, Wisdom, Wyclef Jean, Yele Haiti charity
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Usha Rodrigues, From Loyalty to Conflict: Addressing Fiduciary Duty at the Officer Level
61 Fla. L. Rev. 1 (2009) | | | | ABSTRACT :: Conflicts of interest are the quintessential agency cost-the constant, lurking danger that agents may seek their own personal gain, rather than the good of the corporation. Yet many … Continue reading
Posted in Antitrust & Trade Law, Business & Corporate Law, Constitutional Law, Criminal Law, Employment Law, Governments and Legislation, Judicial Systems, Labor & Employment Law, Uncategorized
Tagged agency cost, Code of ethics, conflicts of interest, Corporate Officers, Education, fiduciary duty, fradulent behavior, Loyalty, Rodrigues, Sarbenes Oxley Act, SEC, senior officers
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Lindsay Roshkind, Interpreting I.R.C. § 67(e): The Supreme Court’s Attempt to Nail Investment Advisory Fees to the “Floor”
60 Fla. L. Rev. 961 (2008) | | | | TEXT :: In the process of statutory interpretation, a court must determine “whether the language at issue has a plain and unambiguous meaning with regard to the particular dispute in … Continue reading
Posted in Estates & Trusts Law, Governments and Legislation, Securities Law, Uncategorized
Tagged 63, 67(e), Advisory Fees, fiduciary duty, I.R.C., institutional investment management, Internal Revenue Code, internal revenue service, IRS, Nail Investment, Roshkind, tax deficiency, trust
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