Updated: April 1, 2011 (Initial publication: May 5, 2010)

None

Benjamin N. Cardozo School of Law / Yeshiva University

Pan Eric J.

Associate Professor of Law and Director, The Samuel and Ronnie Heyman Center on Corporate Governance

Prof. Pan conducts research on financial regulation, capital markets, corporate governance and international law. Among his many professional activities, he directs the Chatham House City Series and frequently speaks about international financial and corporate law issues across North America, Europe and Asia. Prof. Pan is a member of The American Law Institute. Before joining Cardozo, Prof. Pan was an attorney for several years with Covington & Burling in Washington, DC, where he practiced corporate, securities and international law. He also was a Jean Monnet Lecturer in Law at Warwick University, England, and a visiting fellow in international law at Cambridge University, England. He is currently serving as an Academic Fellow in the Office of International Affairs at the U.S. Securities and Exchange Commission in Washington, DC.

Selection of publications:
 
  • 'Challenge of international cooperation and institutional design in financial supervision: Beyond transgovernment networks', Chicago Journal of International Law, Vol. 11, N° 1, 2010
  • 'Rethinking the Board's Duty to Monitor: A critical assessment of the Delaware Doctine', Florida State University Law Review, Vol. 38, 2011
  • 'A board's duty to monitor,' New York Law School Law Review, vol. 54, 2010
  • 'Regulatory competition in international securities markets: evidence from Europe-Part II', Virginia Law & Business Review, Vol. 3, n° 2, p. 207, 2008
  • 'Single stock futures and cross-border access for US investors', Stanford Journal of Law, Business, and Finance, Vol. 14, n° 1, 2008
  • 'The new internationalization of US securities regulation: improving the prospects for a trans-Atlantic marketplace', European Company Law, Vol. 5, n° 08/2, April 2008.
  • 'A European solution to the regulation of cross-border markets,' Brooklyn Journal of Corporate, Financial & Commercial Law, Vol. 2, Fall 2007.
  • 'Regulatory competition in international securities markets: evidence from Europe in 1999 - Part I', Business Lawyer, Vol. 56, p. 653, February 2001.

your comment