Anne Trimmer, Whistleblowing: What It Is and What It Might Mean for Incorporated Legal Practices
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[2004] Law Society Journal 66
|
Law Society Journal
|
Australia
|
circa 2004
|
Informit
|
|
1
|
"Corporate Governance in Australia: Converging with International Developments"
|
(2003) 15 Australian Journal of Corporate Law 189
|
Australian Journal of Corporate Law
|
Australia
|
circa 2003
|
LexisNexis AU
|
|
2
|
James D Cox, United States Securities Laws Enter New Terrain: Corporate Governance And Attorney Responsibilities After Sarbanes-Oxley
|
(2003) 77 Australian Law Journal 293
|
Australian Law Journal
|
Australia
|
circa 2003
|
Legal Online
|
|
1
|
"No-shop, No-talk and Break-up Fee Agreements in Merger and Takeover Transactions: The Case for a Fresh Regulatory Approach"
|
(2002) 14 Australian Journal of Corporate Law 1
|
Australian Journal of Corporate Law
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Australia
|
circa 2002
|
LexisNexis AU
|
|
2
|
"Do Directors, Regulators, and Auditors Speak, Hear, and See No Evil? Evidence from the Enron, HIH, and OneTel Collapses"
|
(2002) 15 Australian Journal of Corporate Law 66
|
Australian Journal of Corporate Law
|
Australia
|
circa 2002
|
LexisNexis AU
|
|
1
|
[1999] Australian Business Law Review 178
|
[1999] Australian Business Law Review 178
|
Australian Business Law Review
|
Australia
|
circa 1999
|
Legal Online
|
|
1
|
Christine Parker and Paul Redmond, Teaching Good Corporate Lawyering
|
[1999] Flinders Journal of Law Reform 97
|
Flinders Journal of Law Reform
|
Australia
|
circa 1999
|
Informit
|
|
1
|
"Reforming Australia's Takeover Defence Laws: What Role for Target Directors"
|
(1997) 8 Australian Journal of Corporate Law 1
|
Australian Journal of Corporate Law
|
Australia
|
circa 1997
|
LexisNexis AU
|
|
3
|
"Commercial Law and Morality"
|
(1989-1990) 17 Melbourne University Law Review 100
|
Melbourne University Law Review
|
Australia
|
circa 1989
|
AustLII
|
|
9
|
Heydon v NRMA Ltd
|
[2000] NSWCA 374; 19 ACLC 1; 36 ACSR 462; [2001] Aust Torts Reports 81-588; (2000) 51 NSWLR 1
|
Supreme Court of New South Wales - Court of Appeal
|
Australia - New South Wales
|
21 Dec 2000
|
AustLII
|
|
104
|
NRMA Ltd v Morgan
|
[1999] NSWSC 407; (1999) 31 ACSR 435; [1999] Aust Torts Reports 81-505; (1999) 17 ACLC 1029
|
Supreme Court of New South Wales
|
Australia - New South Wales
|
13 May 1999
|
AustLII
|
|
29
|
[1990] Queensland Law Society Journal 283
|
[1990] Queensland Law Society Journal 283
|
Queensland Law Society Journal
|
Australia - Queensland
|
circa 1990
|
|
|
1
|
(2004) 78 Law Institute Journal 46
|
(2004) 78 Law Institute Journal 46
|
Law Institute Journal
|
Australia - Victoria
|
circa 2004
|
|
|
1
|
[1998] Law Institute Journal 27
|
[1998] Law Institute Journal 27
|
Law Institute Journal
|
Australia - Victoria
|
circa 1998
|
|
|
1
|
Henry H Rossbacher, Whistleblowing and the American Experience: Has Anything Changed?
|
(2003) 24 Company Lawyer 152
|
Company Lawyer
|
United Kingdom
|
circa 2003
|
Westlaw
|
|
1
|
(2003) 24 Co Lawyer 37
|
(2003) 24 Company Lawyer 37
|
Company Lawyer
|
United Kingdom
|
circa 2003
|
Westlaw
|
|
1
|
"Reporting suspicions of money laundering and ‘whistleblowing’: the legal and other implications for intermediaries and their advisers"
|
(2002) 10 Journal of Financial Crime 23
|
Journal of Financial Crime
|
United Kingdom
|
circa 2002
|
Westlaw
|
|
1
|
(2003) 43 Washburn Law Journal 1
|
(2003) 43 Washburn Law Journal 1
|
Washburn Law Journal
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
1
|
(2003) 77 California Law Review 53
|
(2003) 77 California Law Review 53
|
California Law Review
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
1
|
(2003) 77 Southern California Law Review 53
|
(2003) 77 Southern California Law Review 53
|
Southern California Law Review
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
1
|
(2003) 77 Southern California Law Review 54
|
(2003) 77 Southern California Law Review 54
|
Southern California Law Review
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
1
|
Skeptical Juries, New Laws and In-House Lawyers' Working to Tighten Compliance
|
(2003) 89 ABA Journal 50
|
ABA Journal
|
United States
|
circa 2003
|
HeinOnline
|
|
1
|
Thomas Ross, Lawyers and Fraud: A Better Question
|
(2003) 43 Washburn Law Journal 45
|
Washburn Law Journal
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
1
|
"Counselor, Gatekeeper, Shareholder, Thief: Why Attorneys Who Invest in Their Clients in a Post-Enron World Are "Selling Out," Not "Buying In""
|
(2003) 64 Ohio State Law Journal 897
|
Ohio State Law Journal
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
1
|
"The Legal Profession At The Crossroads: Who Will Write The Future Rules Governing The Conduct Of Lawyers Representing Public Corporations?"
|
(2003) 34 St Marys Law Journal 873
|
St. Mary's Law Journal
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
1
|
"The Laws of Securities Lawyering After Sarbanes-Oxley"
|
(2003) 53 Duke Law Journal 257
|
Duke Law Journal
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
1
|
"The Enron Decision: Closing The Fraud-Free Zone On Errant Gatekeepers?"
|
(2003) 28 Delaware Journal of Corporate Law 447
|
Delaware Journal of Corporate Law
|
United States
|
circa 2003
|
HeinOnline / Westlaw
|
|
2
|
"Legal Ethics -- Sword or Straightjacket?"
|
(2003) 49 Loyola Law Review 251
|
Loyola Law Review
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
1
|
"Keeping the Wheels on the Wagon: Observations on Issues of Legal Ethics for Lawyers Representing Business Organizations"
|
[2003] 3 Wyoming Law Review 513
|
Wyoming Law Review
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
1
|
"Revoking Our Privileges: Federal Law Enforcement'S Multi-Front Assault On The Attorney-Client Privilege (And Why It Is Misguided)"
|
(2003) 48 Villanova Law Review 469
|
Villanova Law Review
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
1
|
"Is There A Role For Lawyers In Preventing Future Enrons?"
|
(2003) 48 Villanova Law Review 1097
|
Villanova Law Review
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
6
|
"The Attorney As Gatekeeper: An Agenda For The Sec"
|
(2003) 103 Columbia Law Review 1293
|
Columbia Law Review
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
3
|
"Symposium: Client Counseling And Moral Responsibility"
|
(2003) 30 Pepperdine Law Review 591
|
Pepperdine Law Review
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
1
|
"Enron: A Brief Behavioral Autopsy"
|
(2003) 40 American Business Law Journal 417
|
American Business Law Journal
|
United States
|
circa 2003
|
Westlaw
|
|
3
|
"A New Role For Lawyers?: The Corporate Counselor After Enron"
|
(2003) 35 Connecticut Law Review 1185
|
Connecticut Law Review
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
4
|
"Afterward And Comment: Towards An Ethical Duty To Market Investors"
|
(2003) 35 Connecticut Law Review 1223
|
Connecticut Law Review
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
1
|
"Corporate Fraud: See, Lawyers"
|
(2003) 26 Harvard Journal of Law & Public Policy 195
|
Harvard Journal of Law & Public Policy
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
2
|
"When The Hurlyburly'S Done: The Bar'S Struggle With The Sec"
|
(2003) 103 Columbia Law Review 1236
|
Columbia Law Review
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
2
|
"Whistleblowing, Mncs, and Peace"
|
(2003) 35 Vanderbilt Journal of Transnational Law 457
|
Vanderbilt Journal of Transnational Law
|
United States
|
circa 2003
|
HeinOnline / LexisNexis
|
|
1
|
"A Hobson'S Choice For Securities Lawyers In The Post-Enron Environment: Striking A Balance Between The Obligation Of Client Loyalty And Market Gatekeeper"
|
(2002) 16 Georgetown Journal of Legal Ethics 91
|
Georgetown Journal of Legal Ethics
|
United States
|
circa 2002
|
HeinOnline / LexisNexis
|
|
2
|
"It's About the Gatekeepers, Stupid,"
|
(2002) 57 Business Lawyer 1403
|
Business Lawyer
|
United States
|
circa 2002
|
HeinOnline
|
|
9
|
"To Tell or Not to Tell: Legal Ethics and Disclosure After Enron"
|
[2002] Columbia Business Law Review 867
|
Columbia Business Law Review
|
United States
|
circa 2002
|
HeinOnline / LexisNexis
|
|
1
|
"Enron and the Corporate Lawyer: A Primer on Legal and Ethical Issues"
|
(2002) 58 Business Lawyer 143
|
Business Lawyer
|
United States
|
circa 2002
|
HeinOnline
|
|
3
|
"Lawyer Role, Agency Law, and the Characterization "Officer of the Court""
|
(2000) 48 Buffalo Law Review 349
|
Buffalo Law Review
|
United States
|
circa 2000
|
HeinOnline / LexisNexis
|
|
2
|
Richard W Painter & Jennifer E Duggan, Lawyer Disclosure of Corporate Fraud: Establishing a Firm Foundation
|
(1996) 50 SMU Law Review 225
|
SMU Law Review
|
United States
|
circa 1996
|
HeinOnline / LexisNexis
|
|
1
|
(1995) 63 George Washington Law Review 955
|
(1995) 63 George Washington Law Review 955
|
George Washington Law Review
|
United States
|
circa 1995
|
HeinOnline / LexisNexis
|
|
1
|
Central Bank of Denver, NA v First Interstate Bank of Denver, NA
|
511 US 164; 128 L Ed 2d 119; 114 SCt 1439
|
United States Supreme Court
|
United States
|
19 Apr 1994
|
WorldLII
|
|
155
|
"Where Were the Lawyers - a Behavioral Inquiry into Lawyers' Responsibility for Clients' Fraud"
|
(1993) 46 Vanderbilt Law Review 75
|
Vanderbilt Law Review
|
United States
|
circa 1993
|
HeinOnline / LexisNexis
|
|
2
|
"Law between the Bar and the State, The"
|
(1992) 70 North Carolina Law Review 1389
|
North Carolina Law Review
|
United States
|
circa 1992
|
HeinOnline / LexisNexis
|
|
1
|
"Corporate Law Practice as a Public Calling"
|
(1990) 49 Maryland Law Review 255
|
Maryland Law Review
|
United States
|
circa 1990
|
HeinOnline / LexisNexis
|
|
2
|
"Gatekeepers: The Anatomy of a Third-Party Enforcement Strategy"
|
(1986) 2 Journal of Law Economics and Organization 53
|
Journal of Law, Economics and Organization
|
United States
|
circa 1986
|
Westlaw
|
|
9
|
"Too High A Price for Truth: The Exception To The Attorney-Client Privilege For Contemplating Crimes And Frauds"
|
(1986) 64 North Carolina Law Review 443
|
North Carolina Law Review
|
United States
|
circa 1986
|
HeinOnline / LexisNexis
|
|
3
|
"Turn Up The Volume: The Need For "Noisy Withdrawal" In A Post Enron Society"
|
92 Kentucky Law Journal 279
|
Kentucky Law Journal
|
United States
|
circa 2002
|
HeinOnline / LexisNexis
|
|
1
|
"The Duty To Monitor: Emerging Obligations Of Outside Lawyers And Auditors To Detect And Report Corporate Wrongdoing Beyond The Federal Securities Laws"
|
(2003) 77 St Johns Law Review 919
|
St John's Law Review
|
United States - New York
|
circa 2003
|
|
|
1
|