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Articles
Articles by Jacob H. Zamansky
- "The Subprime Meltdown Litigation Tsunami"
Eversheds "Sup-prime and global credit symposium: What will happen in 2008", February 7, 2008
- "Unraveling Wall Street Reforms"
Forbes.com, February 8, 2007
- "How Any Exchange Merger Can Create Big Losers"
Financial Times, August 24, 2006
- "Spoiled Goods" a book review by Jacob H. Zamansky
The daily Deal, August 14, 2006
- "Two Rights Equal One Wrong"
Forbes.com, June 28, 2006
- "Form U-5: Unequal Justice in State, U.S. Courts"
Investment News, May 30, 2006
- "Don't Stop At Enron"
Forbes.com, May 25, 2006
- "Heeeeere's Kenny!"
Forbes.com, April 25, 2006
- "Big Board Arbitration: It's Broken, Let's Fix It"
The Wall Street Journal, April 10, 2006
- Jake Zamansky's Letter to NYSE Regulation, Inc., April 3, 2006
- "Leaders & Letters"
Financial Times, March 16, 2006
- "Spitzer vs. the Little Guys"
The Wall Street Journal, March 20, 2006
- "The Fastow Factor"
Forbes.com, March 7, 2006
- "At The Least, Former Enron Chiefs Are Guilty Of Moral Bankruptcy"
USA Today, February 1, 2006
- "Lawyers Behaving Badly: Attorney Involvement in Recent Securities Fraud and Obstruction of Justice Cases"
Presentation on Attorney Ethics to the North American Securities Administrators Association, Inc
Winter Enforcement Conference, January 9, 2006
- "Judgment Call; Class Bias"
TheDeal.com, November 18, 2005
- "In My Opinion The New SEC Chairman's Agenda"
Forbes.com, October 7, 2005
- "Stockbroker Misuse of Fee-Based Accounts Replaces Churning as a Leading Fraudulent Practice"
Wall Street Lawyer, September 2005
- "Spitzer Plays Politics"
New York Post, May 10, 2005
- "Sturm, Drang und Spitzer"
The Wall Street Journal, March 3, 2005
- "A 'Reasoned' Arbitration Decision? Be Careful What You Wish For"
Wall Street Lawyer, February 2005
- "Wanted: an Honest Broker on Wall Street"
The Financial Times, December 4, 2003
- "Can 'Conflicted' State Treasurers Who Control State Employee Pension Funds Lead Corporate Governance Reform at the NYSE and in the Mutual Fund Industry?"
Address to the World Presidents' Organization, November 10, 2003
- "Liability for Tainted Stock Research after the Wall Street Global"
Wall Street Lawyer, September 2003
- "Stock Analysts' Conflicts of Interest: The Road to 'Independence' in Stock Research"
The Journal of Investment Compliance (Winter 2002/2003).
- "Investors' Claims Against Stock Analysts"
PIABA Bar Journal, Fall 2002.
- "'Stock Analysts' Liability For Failure to Disclose Conflicts of Interest"
Presentation to the Securities Superconference, The Canadian Institute, Toronto, Canada, February 2002.
- "Assessing Analysts' Liability for Securities Fraud"
New York Law Journal, January 3, 2002.
- "Mental Illness Effects Broker-Client Relations"
New York Law Journal, October 26, 2000.
- "End of Absolute Privilege on Form U-5 Defamation?"
New York Law Journal, July 3, 2000.
- "Form U-5 Defamation"
Current Issues in the Arbitration of Securities Employment Disputes Seminar, Association of the Bar of New York City, November 1999.
- "Issues Unresolved in E-Mail Libel Ruling"
New York Law Journal, January 16, 1999.
- "Can A Failed Stockbroker Reorganize Under Chapter 11?"
New York Law Journal 1998.
- Co-Author, "Liability for Online Libel After Stratton Oakmont, Inc. v. Prodigy Services, Co."
Connecticut Law Review, Vol. 28, No. 4, Summer 1996.
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