All Publications for Regulatory Enforcement and Compliance
| Finding the GAAP in FCPA Enforcement: Challenges in Identifying the Impact of Alleged Bribery in Financial Statements | Working Paper 2013-05-13 | By Raymund Wong and Dr. Jerry Arnold | ||
| Trends in Canadian Securities Class Actions: 2012 Update Pace of Filings and Settlements Falls; Auditor Risk and Court Rulings Take Centre Stage | Report 2013-02-13 | By Bradley Heys and Mark Berenblut | ||
| Recent Trends in Securities Class Action Litigation: 2012 Full-Year Review | Report 2013-01-29 | By Dr. Renzo Comolli, Dr. Ronald Miller, Svetlana Starykh, and Sukaina Klein | ||
| SEC Settlement Trends: 2H12 Update | Report 2013-01-14 | By Jorge Baez and Dr. James Overdahl with former NERA economist Dr. Elaine Buckberg | ||
| FSA Calendar Year-End Update 2012 | Report 2013-01-02 | By Robert Patton et al. | ||
| 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. | ||
| Economist Debate: High-Frequency Trading | Published Article 2012-03-08 | An Economist Debate with Dr. James Overdahl | ||
| SEC Settlement Trends: 2H11 | Report 2012-01-23 | By Dr. James A. Overdahl et al. | ||
| Will Court Short-Circuit Dodd-Frank? | Published Article 2011-08-15 | By Dr. James Overdahl with Dr. Jonathan Macey, Sam Harris Professor of Corporate Law at Yale University, and former NERA economist Dr. Elaine Buckberg | ||