All Publications for Securities and Finance
| Do Courts Count Cammer Factors? | Working Paper 2012-08-07 | By Dr. David Tabak | ||
| SEC's Emphasis on Individual Accountability Drives Settlement Pace Toward Seven-Year High | Published Article 2012-08-01 | By Dr. James Overdahl with former NERA economist Dr. Elaine Buckberg | ||
| Recent Trends in Securities Class Action Litigation: 2012 Mid-Year Review | Report 2012-07-24 | By Dr. Renzo Comolli, Dr. Ronald Miller, Dr. John Montgomery, and Svetlana Starykh | ||
| SEC Settlement Trends: 1H12 Update | Report 2012-06-27 | By Dr. James A. Overdahl with former NERA economist Dr. Elaine Buckberg | ||
| Trends in Regulatory Enforcement in UK Financial Markets: Fiscal Year 2011/12 | Report 2012-06-26 | By Robert Patton et al. | ||
| Anatomy of a Merger Litigation | Published Article 2012-04-04 | By Dr. Marcia Kramer Mayer, Chair of NERA's Global Securities and Finance Practice, and Douglas J. Clark, Esq., Managing Partner, Wilson Sonsini Goodrich & Rosati | ||
| Estimating Damages in Canadian Shareholder Class Actions | Published Article 2012-03-28 | By Bradley A. Heys | ||
| Energy Policy Briefing Note: The Real Costs of Eliminating Unsecured Credit Lines and Requiring Cash Collateral in OTC Swaps Markets | Regulatory Filing 2012-03-13 | By Dr. Sharon Brown-Hruska and Kurt Strunk | ||
| Economist Debate: High-Frequency Trading | Published Article 2012-03-08 | An Economist Debate with Dr. James Overdahl | ||
| Insurance Coverage Towers and Predicted Settlements | Working Paper 2012-02-22 | By Dr. Patrick Conroy and Dr. Jordan Milev | ||