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Volume 55, Number 3

Symposium

Financial Regulatory Reform: Genesis, Progress, and Impact

A Comparison of the Handling of the Financial Crisis in the United States, the United Kingdom, and Australia
Elizabeth F. Brown
Page 509 

The Role of Trust in Financial Regulation
Ronald J. Colombo
Page 577 

The Consumer Financial Protection Agency: Love It or Hate It, U.S. Financial Regulation Needs It
Ann Graham
Page 603 

Reframing and Reforming the Securities and Exchange Commission: Lessons from Literature on Change Leaderships
Joan MacLeod Heminway
Page 627 

Moving Beyond the Clamor for “Hedge Fund Regulation”: A Reconsideration of “Client” Under the Investment Advisers Act of 1940
Anita K. Krug
Page 661 

Fiduciary Obligations of Broker-Dealers and Investment Advisers
Arthur B. Laby
Page 701

Four Challenges to Financial Regulatory Reform
Eric J. Pan
Page 743

Insurance Perspectives on Federal Financial Regulatory Reform: Addressing Misunderstandings and Providing a View from a Different Paradigm
Jeffrey E. Thomas
Page 773

 


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The Harry S. Cherken, Jr. Law Review Fund Provides Financial Support for the Villanova Law Review.
 
 
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