Indiana University Bloomington

Primary Navigation

Law Library

Sample horizontal photo


Faculty Publications

Donna Nagy
Executive Associate Dean for Academic Affairs; C. Ben Dutton Professor of Law
  1. Selective Disclosure by Federal Officials and the Case for an FGD (Fairer Government Disclosure) Regime (with Richard W. Painter), 2012 WISCONSIN LAW REVIEW 1285 (2012). [SSRN] [HeinOnline]
  2. Insider Trading, Congressional Officials, and Duties of Entrustment, 91 BOSTON UNIVERSITY LAW REVIEW 1105 (2011). [SSRN] [HeinOnline] Reprinted in 44 SECURITIES LAW REVIEW (2012) (D. C. Langevoort, Ed.) and 54 CORPORATE PRACTICE COMMENTATOR (2012) (R. B. Thompson, Ed.).
  3. SECURITIES LITIGATION AND ENFORCEMENT: CASES AND MATERIALS, 3d. (with Richard W. Painter and Margaret V. Sachs). Egan, MN: West, 2011. With Teacher's Manual.
  4. Is the PCAOB a "Heavily Controlled Component" of the SEC?:  An Essential Question in the Constitutional Controversy, 71 UNIVERSITY OF PITTSBURGH LAW REVIEW 361 (2010). [SSRN] [HeinOnline]
  5. Insider Trading and the Gradual Demise of Fiduciary Principles, 94 IOWA LAW REVIEW 1315 (2009). [SSRN] [HeinOnline]. Reprinted in 52 CORPORATE PRACTICE COMMENTATOR 1 (2010) (R. B. Thompson, Ed.).
  6. SECURITIES LITIGATION AND ENFORCEMENT: CASES AND MATERIALS, 2d. (with Richard W. Painter and Margaret V. Sachs). Egan, MN: West, 2008. With Teacher's Manual.
  7. Criminalization of Corporate Law: The Impact of Criminal Sanctions on Corporate Misconduct, 2 JOURNAL OF BUSINESS & TECHNOLOGY LAW 111 (2007). [HeinOnline]
  8. Regulating the Mutual Fund Industry, 1 BROOKLYN JOURNAL OF CORPORATE, FINANCIAL AND COMMERCIAL LAW 11 (2006). [SSRN] [HeinOnline]
  9. Playing Peekaboo with Constitutional Law: The PCAOB and Its Public/Private Status, 80 NOTRE DAME LAW REVIEW 975 (2005). [SSRN] [HeinOnline]. Reprinted in 38 SECURITIES LAW REVIEW 424 (2006).
  10. SECURITIES LITIGATION AND ENFORCEMENT: CASES AND MATERIALS (with Richard W. Painter and Margaret V. Sachs). Egan, MN: West, 2003. Update 2006.
  11. FERRARA ON INSIDER TRADING AND THE WALL (with Ralph C. Ferrara and Herbert Thomas). New York: Law Journals Seminar Press, 2002. Updates 2006, 2007, 2008.
  12. Constitutional Law and Public Policy: Gender Equity (with Aviva Rich), in GENDER MOSAICS: SOCIAL PERSPECTIVES (Dana Vannoy, Ed.). Cary, NC: Roxbury Press, 2001.
  13. The “Possession vs. Use” Debate in the Context of Securities Trading by Traditional Insiders: Why Silence Can Never Be Golden, 67 UNIVERSITY OF CINCINNATI LAW REVIEW 1129 (1999). [SSRN] [HeinOnline]
  14. Judicial Reliance on Regulatory Interpretations in SEC No-Action Letters: Current Problems and a Proposed Framework, 83 CORNELL LAW REVIEW 921 (1998). [SSRN] [HeinOnline]. Reprinted in 40 CORPORATE PRACTICE COMMENTATOR 569 (1998) (R. B. Thompson, Ed.).
  15. Reframing the Misappropriation Theory of Insider Trading Liability: a Post-O’Hagan Suggestion, 59 OHIO STATE LAW JOURNAL 1223 (1998). [SSRN] [HeinOnline]. Reprinted in 41 CORPORATE PRACTICE COMMENTATOR 607 (1999) (R. B. Thompson, Ed.).