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Steve Thel
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Fordham University School of Law 140 West 62nd Street New York, NY 10023 |
Email: sthel@law.fordham.edu
Telephone: 212.636.6852 Fax: 212.636.6899 Office: Room 343 |
Publications
Books:- Contract Enforcement: Specific Performance and Injunctions (with Edward Yorio) (Aspen 2011 and annual supplements)
- Investment Management Law & Regulation (with Harvey Bines) (Aspen 2004 and annual supplements)
Articles and Chapters:
- You DO Have to Keep Your Promises: A Disgorgement Theory of Contract Remedies (with Peter Siegelman) Wm & Mary L. Rev. (forthcoming 2011)
- Willfulness versus Expectation: An Efficient Screen for Efficient Breach, in Fault in American Contract Law (with Peter Siegelman) (Cambridge University Press 2010) (book chapter)
- Willlfulness versus Expectation: A Promisor-Based Defense of Wilful Breach Doctrine (with Peter Siegelman), 107 Mich. L. Rev. 1517 (2009)
- Free Writing, 33 J. Corp. L. 941 (2008) (reprinted in 41 Sec. L. Rev. 144 (2009))
- Of Equal Wrongs and Half Rights (with Gideon Parchamovsky & Peter Siegelman), 82 N.Y.U. L. Rev. 738 (2007)
- Statutory Findings and the Regulation of Insider Trading, 50 Vand. L. Rev. 1091 (1997), reprinted in 30 Sec. L. Rev. 603 (1998)
- The Regulation of Investment Management Arrangements as Securities (with Harvey Bines), 58 Ohio St. L. J. 459 (1997)
- Section 12(2) of the Securities Act: Does Old Legislation Matter? 63 Fordham L. Rev. 1183 (1995)
- $850,000 in 6 Minutes--The Mechanics of Securities Manipulation, 79 Cornell L. Rev. 219 (1994), reprinted in 27 Sec. L. Rev. 119 (1995)
- The Promissory Basis of Past Consideration (with Edward Yorio), 78 Va. L. Rev. 1045 (1992)
- The Promissory Basis of Section 90 (with Edward Yorio), 101 Yale L.J. 111 (1991), reprinted in Modern American Contract Law (translated into Japanese), and reprinted in part in A Contracts Anthology, and in Foundations of Contract Law, and in Perspectives on Contract Law
- The Genius of Section 16: Regulating the Management of Publicly Held Companies, 42 Hastings L.J. 391 (1991)
- The Original Conception of Section 10(b) of the Securities Exchange Act, 42 Stan. L. Rev. 385 (1990), reprinted in 23 Sec. L. Rev. 85 (1991)
- Section 20(d) of the Securities Exchange Act: Congress, the Supreme Court, the SEC and the Process of Defining Insider Trading, 69 N.C.L. Rev. 1261 (1991)
- Review of Bromberg & Ribstein on Partnership by Alan Bromberg & Larry Ribstein, 45 Bus. Law. 1381 (1990)
- Closing a Loophole: Insider Trading in Standardized Options, 16 Fordham Urb. L.J. 573 (1989)
- Securities Law, Fifth Circuit Symposium, 34 Loy. L. Rev. 1029 (1989)
- Regulation of Manipulation Under Section 10(b): Security Prices and the Text of the Securities Exchange Act, 1988 Colum. Bus. L. Rev. 359






