Volume 31, Issue 1 (2008)
". . . See Erie.": Critical Study of Legal Authority
State Government—The Arkansas Freedom of Information Act—Houston We Have a Problem: A Coach and a Comptroller Illustrate the Repercussions of Releasing Electronic Information Through the Arkansas Freedom of Information Act
Securities Law—The Securities Exchange Act of 1934—'Round and 'Round We Go: The Supreme Court Again Limits the Circumstances in which Federal Courts May Hold Secondary Actors Liable Under Section 10(B) and SEC Rule 10B-5. Stoneridge Investment Partners, LLC v. Scientific-Atlanta, Inc., 128 S. Ct. 761 (2008).
W. Taylor Marshall