Jennifer O'Hare

Villanova University School of Law

Associate Professor of Law

299 N. Spring Mill Road

Villanova, PA 19085

United States

SCHOLARLY PAPERS

7

DOWNLOADS
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Top 38,748

in Total Papers Downloads

1,190

SSRN CITATIONS

0

CROSSREF CITATIONS

1

Scholarly Papers (7)

1.

Director Communications and the Uneasy Relationship between the Fiduciary Duty of Disclosure and the Anti-Fraud Provisions of the Federal Securities Laws

University of Cincinnati Law Review, Vol. 70, 2002
Number of pages: 57 Posted: 23 Oct 2002
Jennifer O'Hare
Villanova University School of Law
Downloads 313 (101,700)
Citation 1

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Corporate law, securities

2.

Preemption Under the Securities Litigation Uniform Standards Act: If it Looks Like a Securities Fraud Claim and Acts Like a Securities Fraud Claim, is it a Securities Fraud Claim?

Alabama Law Review, Forthcoming
Number of pages: 92 Posted: 26 Oct 2004
Jennifer O'Hare
Villanova University School of Law
Downloads 308 (103,437)

Abstract:

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Securities Fraud Claim, Securities, Securities Litigation Uniform Standards Act, SLUSA

3.

The Use of the Corporate Monitor in SEC Enforcement Actions

Brooklyn Journal of Corporate, Financial & Corporate Law, Vol. 1, p. 89, 2006, Villanova Law/Public Policy Research Paper No. 2008-02
Number of pages: 47 Posted: 01 Feb 2008
Jennifer O'Hare
Villanova University School of Law
Downloads 196 (162,990)

Abstract:

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corporate monitor, securities fraud, SEC enforcement, ancillary remedy, WorldCom

4.

Misleading Employer Communications and the Securities Fraud Implications of the Employee as Investor

Villanova Law Review, Vol. 48, No. 4, p. 1217, 2003
Number of pages: 29 Posted: 08 Dec 2003
Jennifer O'Hare
Villanova University School of Law
Downloads 141 (216,440)

Abstract:

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Enron, Corporate Governance, Securities Law, Securities Regulation, Corporate Law, Sarbanes-Oxley

5.

Retail Investor Remedies Under Rule 10b-5

University of Cincinnati Law Review, Forthcoming, Villanova Law/Public Policy Research Paper No. 2007-19
Number of pages: 46 Posted: 06 Oct 2007
Jennifer O'Hare
Villanova University School of Law
Downloads 105 (269,621)

Abstract:

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securities fraud, Rule 10b-5, retail investors, individual investors, Private Securities Litigation Reform Act of 1995, Securities Litigation Uniform Standards Act of 1998, class actions, opt outs

6.

Synthetic CDOs, Conflicts of Interest, and Securities Fraud

University of Richmond Law Review, Vol. 48, No. 2, 2014, Villanova Law/Public Policy Working Paper No. 2014-1014
Number of pages: 66 Posted: 11 Oct 2014
Jennifer O'Hare
Villanova University School of Law
Downloads 94 (290,243)

Abstract:

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Synthetic CDO, Financial Crisis, Securites Fraud, Reasonable Reliance, Goldman Sachs, "designed to fail"

7.

Private Ordering and Improving Information Flow to the Board of Directors: The Duty to Inform Bylaw

University of Richmond Law Review, Forthcoming
Number of pages: 66 Posted: 12 Nov 2018
Jennifer O'Hare
Villanova University School of Law
Downloads 33 (476,227)

Abstract:

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Duty to Inform Bylaw, information asymmetry, private ordering, fiduciary duties of officers, officer's duty to inform, officer's duty of candor, information needs of board