More Information:
  • myWM
  • Apply
  • Visit
  • Law A-Z
Search

Home » Faculty » Full-Time » Jayne Barnard
Photo of Prof. Jayne Barnard

Jayne Barnard

Cutler Professor of Law and Kelly Professor of Teaching Excellence
Degrees: J.D., Chicago; B.S., Illinois
Email: [[jwbarn]]
Office phone: (757) 221-3849
Office location: Room 227A
Areas of Specialization

Corporations; Criminal Law--White Collar Crime; Securities Regulation Law

Currently Teaching

Business Associations; Securities Regulation Survey; Selected Problems in Securities Regulation Seminar

Representative Professional Activities and Achievements

Practiced law at Jenner & Block in Chicago (elected to partnership 1982). Joined the faculty in 1985.

Author of articles in the Journal of Corporation Law; The Business Lawyer; and the Wisconsin, North Carolina, Boston University, Arizona, and Southern California law reviews.

Serves on the National Adjudicatory Council of the Financial Industry Regulatory Authority (FINRA). Member of the American Law Institute. Program chair for the 2009-10 Herbert V. Kelly, Sr., Program for Teaching Excellence.


Scholarly Publications
Articles
  • Deception, Decisions, and Investor Education, 17 Elder L. J. ___ (forthcoming 2009).
  • Symposium Issue, Narcissism, Over-Optimism, Fear, Anger and Depression: The Interior Lives of Corporate Leaders, 77 U. Cin. L. Rev. 405 (2008).
  • Corporate Therapeutics at the Securities and Exchange Commission, 2008 Colum. Bus. L. Rev. 793 (2008).
  • Securities Fraud, Recidivism, and Deterrence, 113 Penn. St. L. Rev. 189 (2008).
  • Symposium Issue, Post-Tenure Review As If It Mattered, 17 J. Contemp. Legal Issues 297 (2008).
  • Symposium Issue, Creative Sanctions for Online Investment Fraud, 76 Miss. L.J. 949 (2007).
  • Symposium Issue, Corporate Boards and The New Environmentalism, 31 Wm. & Mary Envtl. L. & Pol'y Rev. 291 (2007).
  • Symposium Issue, More Women on Corporate Boards? Not So Fast, 13 Wm. & Mary J. Women & L. 703 (2007)
  • Symposium Issue, At the Top of the Pyramid: Lessons from the Alpha Women and the "Elite Eight," 65 Md. L. Rev. 315 (2006)
  • Symposium Issue, Historical Quirks, Political Opportunism, and the Anti-Loan Provision of the Sarbanes-Oxley Act, 31 Ohio N.U. L. Rev. 325 (2005), reprinted in 38 Sec. L. Rev. Ann. 236 (2006).
  • Rule 10b-5 and the "Unfitness" Question, 47 Ariz. L. Rev. 9 (2005), reprinted in 47 Corp. Prac. Comm. 855 (2005).
  • SEC Debarment of Officers and Directors After Sarbanes-Oxley, 59 Bus. Law. 391 (2004).
  • Co-author, Incremental Bar Admission: Lessons from the Medical Profession, 53 J. Legal Educ. 340 (2003) (with Mark Greenspan).
  • The SEC's Suspension and Bar Powers in Perspective, 76 Tul. L. Rev. 1253 (2002).
  • Renewable Bar Admission: A Template for Making "Professionalism" Real, 25 J. Legal Prof. 1 (2001).
  • Allocution for Victims of Economic Crimes, 77 Notre Dame L. Rev. 39 (2001).
  • Reintegrative Shaming in Corporate Sentencing, 72 S. Cal. L. Rev. 959 (1999).
  • What is Character? What is Fitness? Who Decides?, VII Educ. & Prac. 5 (1999).
  • The Three-Legged Stool of Corporate Governance Reform, 13 Amicus Curiae (Journal of the Society for Advanced Legal Studies, London) 12 (1999).
  • Reflections on Britain's Research Assessment Exercise, 48 J. Legal Educ. 467 (1998).
  • When Wise Men Speak: Comments on the OECD's Corporate Governance Project, Company Secretary, Jul. 1998, at 37 (Hong Kong publication).
  • The Hampel Committee Report: A Transatlantic View, Company Law., Apr. 1998, at 110 (British publication).
  • Symposium Issue, Corporate Philanthropy, Executives' Pet Charities and the Agency Problem, 41 N.Y.L. Sch. L. Rev. 1147 (1997).
  • Co-author, Report of the Task Force on Rule 102(e) Proceedings: Rule 102(e) Sanctions Against Accountants, 52 Bus. Law. 965 (1997).
  • Sovereign Prerogatives, 21 J. Corp. L. 281 (1996).
  • Private Practice for Public Consumption: Two Views of Corporate Law, 73 B.U. L. Rev. 121 (1993).
  • When is a Corporate Executive "Substantially Unfit to Serve"?, 70 N.C. L. Rev. 1489 (1992), reprinted in 25 Sec. L. Rev. Ann. 155 (1993).
  • Institutional Investors and the New Corporate Governance, 69 N.C. L. Rev. 1135 (1991).
  • Shareholder Access to the Proxy Revisited, 40 Cath. U. L. Rev. 37 (1990).
  • Giving Voice to Shareholder Choice, 73 Bus. and Soc'y Rev. 15 (1990).
  • Exxon Collides with the Valdez Principles, 74 Bus. & Soc'y Rev. 32 (1990).
  • Securities Law Symposium, The Supreme Court and the Shareholder Litigant: Basic, Inc. v. Levinson in Context, 16 Pepp. L. Rev. 985 (1989).
  • Executive Loans from Corporate Funds, 17 Sec. Reg. L.J. 257 (1989).
  • The Securities Law Enforcement Remedies Act of 1989: Disenfranchising Shareholders in Order to Protect Them, 65 Notre Dame L. Rev. 32 (1989), reprinted in 23 Sec. L. Rev. Ann. 275 (1991) and 33 Corp. Prac. Comm. 507 (1992).
  • Curbing Management Conflicts of Interest -- The Search for an Effective Deterrent, 40 Rutgers L. Rev. 369 (1988).
  • Corporate Loans to Directors and Officers -- Every Business Now a Bank?, ___ Wis. L. Rev. 237 (1988), reprinted in 31 Corp. Prac. Comm. 217 (1989).
  • Raiding the Corporate Cookie Jar, 68 Bus. & Soc'y Rev. 56 (1988).
Book Chapters
  • Corporate Criminal Liability: A Tool for Corporate Governance Reform, in Proceedings of the International Association for Business and Society (1999).
  • How Legal Principles Encourage Irresponsible Corporate Behavior: The Case of Tobacco, in Proceedings of the International Association for Business and Society 217 (1993).
  • Co-author, Referenda and Public Questions, in Election Law (IICLE 1983) (with S. Schenkier).
  • Co-author, Litigation Under Section 14(a) of the Securities Exchange Act of 1934, in Course of Study in Litigation Under the Federal Securities Laws (ALI-ABA 1977, 1978, 1981) (with J. Solovy).
  • Co-author, Attorneys' Fees in Commercial and Civil Rights Cases, in Problems in Modern Federal Practice (PLI 1979) (with J. Solovy).
  • Co-author, Representing Candidates and Others in Election Litigation, in Attorneys' Guide to Illinois Election Law (IICLE 1977) (with W. Luking).
Other
  • Assessment of Clinical Skills in Medicine and Law, Bar Examiner, Aug. 2004, at 18.
  • Sears Incentives: A Wall Street Parallel, N.Y. Times, Aug. 30, 1992, § 3, at 11.
  • Reducing Tenure in the Boardroom, N.Y. Times, Dec. 22, 1991, § 3, at 11.
  • Challenge and Change: Perspectives on Central Europe, Wm. & Mary Law. 17 (1990).
  • Conflict of Interest in the Board Room -- Misconduct "Market Discipline" Cannot Kill, Wm. & Mary Law. 35 (1988).

Content manager: Trotter Hardy

Page created on 11/06/2009 @4:38 pm | 1 record shown