All Publications for Financial Regulation and Reform
| 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 | ||
| Economist Debate: High-Frequency Trading | Published Article 2012-03-08 | An Economist Debate with Dr. James Overdahl | ||
| Former Regulator Urges CFTC to Track All Automated Trading Systems | Expert QA 2011-12-23 | A Q&A with NERA Vice President and former SEC and CFTC Chief Economist Dr. James Overdahl | ||
| Cost-Benefit Analysis of the CFTC's Proposed Swap Dealer Definition | Report 2011-12-20 | By Dr. Sharon Brown-Hruska and Kurt Strunk | ||
| 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 | ||
| Trends in Regulatory Enforcement in UK Financial Markets | Report 2011-07-11 | By Robert Patton et al. | ||
| Banking Entity Trading Under the Volcker Rule | Working Paper 2011-06-24 | By Christopher Laursen | ||
| What Do the New Risk Retention Requirements of the Dodd-Frank Act Mean for Securitization? | Working Paper 2010-12-01 | By Dr. Faten Sabry | ||
| Economic Analysis in the Federal Rule-Making Process to Implement the Dodd-Frank Wall Street Reform and Consumer Protection Act | Working Paper 2010-08-30 | By Dr. James Overdahl | ||
| De-Mystifying Interconnectedness: Assessing 'Too Interconnected to Fail' and the Fallout from Getting it Wrong | Report 2010-04-23 | By Christopher Laursen, Dr. Sharon Brown-Hruska, Dr. Robert Mackay, and Dr. John Bovenzi of Oliver Wyman Group | ||