Volume 67, Issue 2 (1989)
F. Hodge O'Neal Corporate and Securities Law Symposium
Reflections on Successor Liability
Robert W. Hamilton
Successor Corporation Products Liability—Six or More Characters in Search of an Author
Jerry J. Phillips
Preventing Successor Liability for Defective Products: Safeguards for Acquiring Corporations
John P. Arness, L. Anthony Sutin, and Teresa C. Plotkin
Increasing the Labor-Related Costs of Business Transfers and Acquisitions—The Spectre of Per Se Liability for New Owners
William H. DuRoss III
Notes
Deregulating the Transmission of Electricity: Wheeling Under P.U.R.P.A. Sections 203, 204, and 205
Robert S. Handmaker
ERISA, Employees, and Creditors' Rights: A Search for a Consistent Theme
Charles G. Huber Jr.
The International Silver Platter and the "Shocks the Conscience" Test: U.S. Law Enforcement Overseas
Robert L. King
The Expedited Funds Availability Act of 1987: Beyond Toasters and Totally Free Checking
C. Lockhart Nimick
Challenging the Peremptory Challenge: Sixth Amendment Implications of the Discriminatory Use of Peremptory Challenges
Patricia E. Sacks
Labor Policy and Private Determination of Successor Liability: Illinois' Successor Clause Statute
Wendy C. Skjerven
Recent Developments
Case Comments
International Commercial Bribery and the Act of State Doctrine, Environmental Tectonics v. W.S. Kirkpatrick, Inc., 847 F.2d 1052 (3rd Cir. 1988)
Deborah E. Bielicke
Limiting the Prosecutor's Use of Informants: The Second Circuit's Misreading of DR 7-104(A)(1), United States v. Hammad, 858 F.2d 834 (2d Cir. 1988)
Daniel J. Schnurman