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Faculty Publications

Donna Nagy
Executive Associate Dean for Academic Affairs; C. Ben Dutton Professor of Law
  1. Owning Stock While Making Law: An Agency Problem and a Fiduciary Solution, 48 WAKE FOREST LAW REVIEW 567 (2013). [HeinOnline]
  2. Selective Disclosure by Federal Officials and the Case for an FGD (Fairer Government Disclosure) Regime (with Richard W. Painter), 2012 WISCONSIN LAW REVIEW 1285 (2012). [SSRN] [HeinOnline]
  3. Insider Trading, Congressional Officials, and Duties of Entrustment, 91 BOSTON UNIVERSITY LAW REVIEW 1105 (2011). [SSRN] [HeinOnline] Reprinted in 44 SECURITIES LAW REVIEW (2012) (D. C. Langevoort, Ed.) and 54 CORPORATE PRACTICE COMMENTATOR (2012) (R. B. Thompson, Ed.).
  4. SECURITIES LITIGATION AND ENFORCEMENT: CASES AND MATERIALS, 3rd Ed. (with Richard W. Painter and Margaret V. Sachs). Egan, MN: West, 2011. With Teacher's Manual.
  5. Is the PCAOB a "Heavily Controlled Component" of the SEC?:  An Essential Question in the Constitutional Controversy, 71 UNIVERSITY OF PITTSBURGH LAW REVIEW 361 (2010). [SSRN] [HeinOnline]
  6. Insider Trading and the Gradual Demise of Fiduciary Principles, 94 IOWA LAW REVIEW 1315 (2009). [SSRN] [HeinOnline]. Reprinted in 52 CORPORATE PRACTICE COMMENTATOR 1 (2010) (R. B. Thompson, Ed.).
  7. SECURITIES LITIGATION AND ENFORCEMENT: CASES AND MATERIALS, 2nd Ed. (with Richard W. Painter and Margaret V. Sachs). Egan, MN: West, 2008. With Teacher's Manual.
  8. Criminalization of Corporate Law: The Impact of Criminal Sanctions on Corporate Misconduct, 2 JOURNAL OF BUSINESS & TECHNOLOGY LAW 111 (2007). [HeinOnline]
  9. Regulating the Mutual Fund Industry, 1 BROOKLYN JOURNAL OF CORPORATE, FINANCIAL AND COMMERCIAL LAW 11 (2006). [SSRN] [HeinOnline]
  10. Playing Peekaboo with Constitutional Law: The PCAOB and Its Public/Private Status, 80 NOTRE DAME LAW REVIEW 975 (2005). [SSRN] [HeinOnline]. Reprinted in 38 SECURITIES LAW REVIEW 424 (2006).
  11. SECURITIES LITIGATION AND ENFORCEMENT: CASES AND MATERIALS (with Richard W. Painter and Margaret V. Sachs). Egan, MN: West, 2003. Update 2006.
  12. FERRARA ON INSIDER TRADING AND THE WALL (with Ralph C. Ferrara and Herbert Thomas). New York: Law Journals Seminar Press, 2002. Updates 2006, 2007, 2008.
  13. Constitutional Law and Public Policy: Gender Equity (with Aviva Rich), in GENDER MOSAICS: SOCIAL PERSPECTIVES (Dana Vannoy, Ed.). Cary, NC: Roxbury Press, 2001.
  14. The “Possession vs. Use” Debate in the Context of Securities Trading by Traditional Insiders: Why Silence Can Never Be Golden, 67 UNIVERSITY OF CINCINNATI LAW REVIEW 1129 (1999). [SSRN] [HeinOnline]
  15. Judicial Reliance on Regulatory Interpretations in SEC No-Action Letters: Current Problems and a Proposed Framework, 83 CORNELL LAW REVIEW 921 (1998). [SSRN] [HeinOnline]. Reprinted in 40 CORPORATE PRACTICE COMMENTATOR 569 (1998) (R. B. Thompson, Ed.).
  16. Reframing the Misappropriation Theory of Insider Trading Liability: a Post-O’Hagan Suggestion, 59 OHIO STATE LAW JOURNAL 1223 (1998). [SSRN] [HeinOnline]. Reprinted in 41 CORPORATE PRACTICE COMMENTATOR 607 (1999) (R. B. Thompson, Ed.).