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Why Senator Crapo’s Bill Will Put Our Financial System and Economy at Risk

Posted by Phil Angelides, Former Chairman of the U.S. Financial Crisis Inquiry Commission (2009-2011), on Tuesday, March 27, 2018 Editor's Note: Phil Angelides served as Chairman of the U.S. Financial...

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Bank Resolution and the Structure of Global Banks

Posted by Patrick Bolton (Columbia University) and Martin Oehmke (London School of Economics), on Wednesday, July 25, 2018 Editor's Note: Patrick Bolton is Barbara and David Zalaznick Professor of...

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Securing Financial Stability: Systematic Regulation of Systemic Risk

Posted by Steven L. Schwarcz (Duke University), on Wednesday, August 29, 2018 Editor's Note: Steven L. Schwarcz is Stanley A. Star Professor of Law & Business at the Duke University School of Law....

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Solving Banking’s “Too Big to Manage” Problem

Posted by Jeremy C. Kress (University of Michigan), on Wednesday, July 3, 2019 Editor's Note: Jeremy Kress is Assistant Professor of Business Law at the Stephen M. Ross School of Business at the...

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The Fed’s Deeply Flawed Strategy for Resolving Failed Megabanks

Posted by Arthur E. Wilmarth, Jr., George Washington University Law School, on Wednesday, May 18, 2016 Editor's Note: Arthur E. Wilmarth, Jr. is a Professor of Law at the George Washington University...

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Equity is Cheap for Large Financial Institutions: The International Evidence

Posted by Priyank Gandhi, Mendoza College of Business, University of Notre Dame, on Tuesday, July 19, 2016 Editor's Note: Priyank Gandhi is Assistant Professor at the University of Notre Dame’s Mendoza...

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Bail-in and Market Stabilization

Posted by Wolf-Georg Ringe, Copenhagen Business School and the University of Oxford, on Friday, July 22, 2016 Editor's Note: Wolf-Georg Ringe is Professor of International Commercial Law at Copenhagen...

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Bankruptcy for Banks: A Sound Concept That Needs Fine-Tuning

Posted by Mark J. Roe, Harvard Law School, and David A. Skeel, University of Pennsylvania, on Wednesday, August 17, 2016 Editor's Note: Mark J. Roe is the David Berg Professor of Law at Harvard Law...

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Financial Crisis, Corporate Governance, and Bank Capital

Posted by Sanjai Bhagat, University of Colorado Boulder, on Friday, March 17, 2017 Editor's Note: Sanjai Bhagat is Provost Professor of Finance at the University of Colorado Boulder Leeds School of...

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Are Large Banks Valued More Highly?

Posted by Alvaro Taboada, Mississippi State University, and René Stulz, The Ohio State University, on Tuesday, March 28, 2017 Editor's Note: Alvaro Taboada is Assistant Professor of Finance at...

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Equity Suppliers in Bank Regulation

Posted by Yesha Yadav, Vanderbilt Law School, on Wednesday, April 12, 2017 Editor's Note: Yesha Yadav is Professor of Law at Vanderbilt Law School. This post is based on a recent paper by Professor...

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Principles for Financial Regulatory Reform

Posted by William Dudley, Federal Reserve Bank of New York, on Friday, April 21, 2017 Editor's Note: William C. Dudley is President and Chief Executive Officer of the Federal Reserve Bank of New York....

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The Departing Remarks of Federal Reserve Governor Daniel K. Tarullo

Posted by Daniel K. Tarullo, formerly U.S. Federal Reserve Board of Governors, on Monday, May 1, 2017 Editor's Note: Daniel K. Tarullo is former Governor of the Federal Reserve System. This post is...

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CHOICE Act 2.0: House Financial Services Committee Revises Regulatory Reform...

Posted by John C. Dugan and Randy Benjenk, Covington & Burling LLP, on Monday, May 8, 2017 Editor's Note: John C. Dugan is a partner and Randy Benjenk is an associate at Covington & Burling...

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Bank Governance and Systemic Stability: The “Golden Share” Approach

Posted by Saule T. Omarova, Cornell University, on Friday, May 26, 2017 Editor's Note: Saule T. Omarova is a Professor at Cornell Law School. This post is based on her recent article, forthcoming in...

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Déjà Vu: Model Risks in the Financial Choice Act

Posted by Beckwith B. Miller and Howard R. Sutherland, Ethics Metrics LLC, on Sunday, June 25, 2017 Editor's Note: Beckwith B. Miller is a Managing Member and Howard R. Sutherland is a Member of the...

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Why Senator Crapo’s Bill Will Put Our Financial System and Economy at Risk

Posted by Phil Angelides, Former Chairman of the U.S. Financial Crisis Inquiry Commission (2009-2011), on Tuesday, March 27, 2018 Editor's Note: Phil Angelides served as Chairman of the U.S. Financial...

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Bank Resolution and the Structure of Global Banks

Posted by Patrick Bolton (Columbia University) and Martin Oehmke (London School of Economics), on Wednesday, July 25, 2018 Editor's Note: Patrick Bolton is Barbara and David Zalaznick Professor of...

View Article

Securing Financial Stability: Systematic Regulation of Systemic Risk

Posted by Steven L. Schwarcz (Duke University), on Wednesday, August 29, 2018 Editor's Note: Steven L. Schwarcz is Stanley A. Star Professor of Law & Business at the Duke University School of Law....

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Solving Banking’s “Too Big to Manage” Problem

Posted by Jeremy C. Kress (University of Michigan), on Wednesday, July 3, 2019 Editor's Note: Jeremy Kress is Assistant Professor of Business Law at the Stephen M. Ross School of Business at the...

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