Mercer Bullard

Mercer Bullard


Registered on Friday the 18th of Feb, 2011

Website: http://www.funddemocracy.com

Posts by Mercer Bullard ¬

  1. Aug 29, 2011Does Regulation Drive High Closing Costs?
  2. Aug 27, 2011Do Corporations Pay Fines to Protect their CEOs?
  3. Aug 25, 2011Do U.S. Politicians Invest in America?
  4. Aug 23, 2011Can You Trust Bank Disclosure?
  5. Aug 19, 2011Is Corporate Director Liability Real?
  6. Aug 15, 2011Debt Collection from the Deceased
  7. Aug 11, 2011Exporting Fraud Under Morrison?
  8. Jul 27, 2011Expert Networks & Insider Trading
  9. Jul 24, 2011Is SEC’s Cost-Benefit Analysis Lacking?
  10. Jul 18, 2011Debt Collectors and Forum Shopping
  11. Jul 13, 2011Regulatory Monopolies and the Arts
  12. Jul 12, 2011Do State Prepaid Tuition Plans Mislead Participants?
  13. Jul 9, 2011SEC Liability for Stanford Fraud?
  14. Jul 8, 2011Ponzi Schemes and Hollywood Poker
  15. Jul 5, 2011Optimizing Corporate Structure for International Arbitration
  16. Jul 3, 2011FINRA Arbitration Blind to FINRA Findings
  17. Jul 1, 2011“National” Interests and Takeover Law
  18. Jun 28, 2011Bloomberg on FINRA as Investment Adviser SRO
  19. Jun 27, 2011Private Class-Action Settlement Handcuffs State Enforcers?
  20. Jun 21, 2011Peer-to-Peer Lending
  21. Jun 19, 2011Crowd-Sourcing Capital
  22. Jun 15, 2011NCAA (Public?) Policy and Coaches’ Contracts
  23. Jun 14, 2011Your Fund Manager, the Speechwriter
  24. Jun 13, 2011(Intellectual) Fortunes of War
  25. Jun 10, 2011Law School Fraud?
  26. Jun 8, 2011Costner’s New Waterworld and Securities Law
  27. Jun 7, 2011Waltons Take Back Control
  28. Jun 5, 2011Business Identity and Reincarnation
  29. Jun 2, 2011ERISA Fiduciaries
  30. Jun 1, 2011The Difference a Fiduciary Duty Makes
  31. May 30, 2011Peer-to-Peer Currency
  32. May 28, 2011Broker-Dealer Private Offering Due Diligence
  33. May 27, 2011Google/PayPal Trade Secrets Lawsuit
  34. May 26, 2011Kraft-Cadbury Deal and UK Takeover Code
  35. May 25, 2011Regulation and the U.S. IPO Boom
  36. May 24, 2011Mortgage Disclosure Forms
  37. May 23, 2011Refund Anticipation Loans and Safety and Soundness
  38. May 22, 2011Colbert Super PAC Turns Citizens United Inside Out
  39. May 21, 2011Are Equity-Indexed Annuities Exempt?
  40. May 20, 2011Employers, Employees and Marriage
  41. Apr 28, 2011Insurance Exam Pass Rates
  42. Apr 24, 2011Nonpayment of Death Benefits
  43. Apr 20, 2011Mutual Funds Using Stale Prices
  44. Apr 18, 2011Investment Adviser Group Supports SROIIA
  45. Apr 17, 2011SEC Compliance with the Dodd-Frank Act
  46. Apr 16, 2011Glencore IPO Goes Offshore
  47. Apr 15, 2011Foreclosure Practices Orders Issued
  48. Apr 14, 2011Eligibility of Private Placement Investors
  49. Apr 13, 2011Low Tech Jailbreaking and the Law
  50. Apr 12, 2011Securities Investor Protection Corporation: Trustee Fees
  51. Apr 5, 2011Berkshire Hathaway Executive’s Trading and Corporate Compliance
  52. Apr 1, 2011Cybersquatting Litigation
  53. Mar 30, 2011Is FINRA Unconstitutional?
  54. Mar 29, 2011Articles/Posts on SROIIA #3
  55. Mar 28, 2011International Corporate Governance and Microlending
  56. Mar 28, 2011Debtors’ Prison Makes a Comeback
  57. Mar 20, 2011Fair Finance and Business Regulation
  58. Mar 19, 2011House Republicans on Fiduciary Duty for Brokers
  59. Mar 19, 2011OX in SOXA to Lobby for IA-SRO
  60. Mar 18, 2011Morals and No-Morals Clauses
  61. Mar 17, 2011SEC User Fees for Adviser Inspections?
  62. Mar 17, 2011Is Message Hostage-Taking Legal?
  63. Mar 16, 2011SEC Budget Cuts = Fewer IA Exams
  64. Mar 16, 2011The Regulation of Baby Life Insurance
  65. Mar 15, 2011Grading Mutual Funds Worldwide
  66. Mar 14, 2011Articles/Posts about SROIIA #2
  67. Mar 14, 2011Surrogacy Around the World
  68. Mar 13, 2011Shift to Fee-Only Planners
  69. Mar 13, 2011Ethics Hot Spots for Financial Advisers
  70. Mar 13, 2011Lehman Brothers and Repo 105
  71. Mar 12, 2011Public Markets for Private Shares
  72. Mar 12, 2011Politics, Rock ‘n Roll and Fair Use
  73. Mar 12, 2011When Your Adviser Can’t Be Trusted
  74. Mar 10, 2011Plain English Rules
  75. Mar 10, 2011Articles/Posts about SROIIA
  76. Mar 9, 2011BLS Press Release on SROIIA
  77. Mar 8, 2011SEC offers 3 options for RIA oversight
  78. Mar 8, 2011FSI Endorses FINRA as SRO for Investment Advisors
  79. Mar 8, 2011Investment Advisors Do Not Need an SRO
  80. Mar 8, 2011Formation-Related docs
  81. Mar 8, 2011Coalition Letter re FINRA as SRO
  82. Mar 8, 2011Adviser Associations’ links
  83. Mar 8, 2011Article on FINRA as SRO
  84. Mar 8, 2011FINRA comments re examinations
  85. Mar 8, 2011914 Study/Republican Dissent
  86. Mar 7, 2011Rating Agencies as Experts in Registration Statements
  87. Mar 6, 2011Is Document Review by Algorithm the Practice of Law?
  88. Mar 3, 2011Empirical Gaps in the Case for Broker Fiduciary Duty?
  89. Feb 27, 2011Banks Win Battle Against Fair Value
  90. Feb 26, 2011Are Employers Opting in to Employee 401k Opt-In Option?
  91. Feb 23, 2011Advertised and Actual Investment Returns for Mutual Funds
  92. Feb 21, 2011Why Do U.S. Corporation Borrow when already Flush with Cash?
  93. Feb 19, 2011Regulatory Costs and the Value of a Human Life
  94. Feb 14, 2011Black Hat Optimization in Online Search
  95. Feb 12, 2011A Window into the World of Corporate Spying?
  96. Feb 10, 2011Backdoor Insider Trading Through Mutual Funds
  97. Feb 10, 2011Payday Lending Limits Overrun by Jurisdictional Exceptions
  98. Feb 9, 2011Where are the directors of corporate blow-ups now?
  99. Feb 9, 2011$250 Million in Miss. EITCs Left on the Table
  100. Feb 8, 2011Overdrafts and the $38 Cup of Coffee
  101. Feb 4, 2011The Rule of Law in the Global Marketplace
  102. Feb 3, 2011Compliance Officer Departure: A Regulatory Red Flag?
  103. Feb 3, 2011Robosigning Allows Delinquent Homeowners to Stay Put
  104. Feb 2, 2011U.S. Solar Power and the High Cost of Permits
  105. Jan 29, 2011When Private-Equity Break-Ups Become Public
  106. Jan 28, 2011Investors in Bailed Out Bank Reap Rewards
  107. Jan 26, 2011Municipal Issuers Flout Disclosure Rules
  108. Jan 25, 2011Banks Win Battle Against Fair Value
  109. Jan 23, 2011Citizens United Constitutional Amendment
  110. Jan 23, 2011Ownership of Deposed Dictators’ Bank Accounts
  111. Jan 22, 2011The Social Media Minefield in Employment Relations
  112. Jan 22, 2011Unconstitutional State Tax Policies for 529 Plans
  113. Jan 21, 2011Restrictions on Money Market Funds as Collateral
  114. Jan 20, 2011Bankruptcy or Bailouts for States?
  115. Jan 20, 2011Reverse Takeovers and Chinese Firms
  116. Jan 19, 20112008 Options and Shareholder Dilution
  117. Jan 19, 2011Financial Stability Oversight Council Takes Action
  118. Jan 17, 2011Outside Financing of Litigation
  119. Jan 17, 2011Placement Agents Under Scrutiny
  120. Jan 16, 2011Pre-Merger Hold-Ups: The New Strike Suit?
  121. Jan 15, 2011Regulators Make Banks Raise Fees?
  122. Jan 15, 2011Securities Arbitration Clinics at Law Schools
  123. Jan 14, 2011Garnishment of Social Security Payments
  124. Jan 14, 2011Public “Private” Offerings
  125. Jan 14, 2011The Foreclosure Document Trail
  126. Jan 14, 2011Self-Regulation for Advisers?