Publications
| - Unresolved Jurisdictional Issues After McMahon, Securities Arbitration Commentator Vol. 1, No. 9 - December 1988. | |
| - Hedge Programs and Hybrid Instruments, Securities Arbitration Commentator Vol. 3, No. 10 - October 1990. | |
| - Securities Arbitration and Contractual Consent - The Effect of SICA's Arbitrator's Manual on Punitive Damage Remedies in the NASD, Securities Arbitration Commentator Vol. VI, No. 9, September 1994. | |
| - An Introduction to Securities Arbitration: To Arbitrate or Not to Arbitrate (Presentation to the New York State Bar Association 1995). | |
| - Report of the Federal Practice Section of the New York State Bar Association on Securities Class Action Fees, New York Litigator, Vol. 2, No. 2 at 56 (November, 1996)(principal coauthor). | |
| - 1998 Securities Arbitration Damages and Remedies, Course Book, Securities and Mediation and Arbitration -- Effective Advocacy at 205-251 (Pub. New York State Bar Association, Securities Litigation Committee of the Commercial and Federal Litigation Section, Fall, 1998)(co-author Lawrence A. Steckman). | |
Mitchell Berns |
|
| - Chief Risk Officer’ No Solution, American Banker, February 4, 2005 | |
| - Balancing Act for FHLB Directors, American Banker, July 23, 2004 | |
| - To Build an MBS Market, Start with Housing Infrastructure, American Banker, July, 2 2004 | |
| - Four Ways to Make the Position of GSE Regulator a Desirable One, American Banker, February 20, 2004 | |
| - Making sure the Manuals are More than Paperweights, American Banker, August 22, 2003 | |
| - Proposal on Federal Home Loan Banks’ Stock Does Not Register, American Banker, December 13, 2002 | |
| - Regulators Must Ensure GSE Operations Remain Secure, American Banker, August 18, 2000 | |
|
For
more information, please e-mail us at: |