Jump to content

Jerry Markham

From Wikipedia, the free encyclopedia

Jerry W. Markham is a professor at the Florida International University College of Law,[1] and a legal scholar on business organizations and securities regulation in the United States.

Education and professional activities

[edit]

Markham received a B.S. from Western Kentucky University,[1] and attended law school at the University of Kentucky College of Law,[1] where he served as editor-in-chief of the Kentucky Law Journal, and was named to the Order of the Coif.[1] He later received an LL.M. from the Georgetown University Law Center.[1]

Before entering academia, Markham was secretary and counsel, Chicago Board Options Exchange, Inc.;[1] chief counsel, Division of Enforcement, United States Commodity Futures Trading Commission;[1] an attorney for the Securities and Exchange Commission,[1] and a partner with the international firm of Rogers & Wells (now Clifford Chance) in Washington, D.C.[1]

Scholarship

[edit]

Markham has written and taught in the areas of corporate finance, banking, commodities trading, securities and international trade law.[1] He is currently a professor of law at the Florida International University College of Law.[1] Markham was previously a member of the law faculty at the University of North Carolina, where he taught for twelve years,[1] and prior to that was an adjunct professor at the Georgetown University Law Center for ten years.[1]

Markham authored a three-volume financial history of the United States in 2002. He has co-authored four casebooks on corporate law and banking regulation, has published a two-volume treatise and a history book on the law of commodity futures regulation,[1] and was the principal coauthor of a two-volume treatise on securities regulation.[1] More recently, he authored a book on the Enron and other financial scandals that followed the market downturn in 2000.

Works

[edit]

Treatises

[edit]
  • The History of Commodity Futures Trading and Its Regulation (1987)
  • A Financial History of the United States (2002; in three volumes)
  • A Financial History of Modern U.S. Corporate Scandals: From Enron to Reform (2006)
  • Broker Dealer Operations Under Securities and Commodities Law (1995; with Thomas Lee Hazen)
  • Broker-dealer Operations and Regulation Under Securities and Commodities Laws (2002; with Thomas Lee Hazen)

Textbooks

[edit]
  • Commodities Regulation: Fraud, Manipulation & Other Claims (1987; Clark Boardman Callaghan)
  • Mergers, Acquisitions and Other Business Combinations: Cases and Materials (2003; with Thomas Lee Hazen)
  • Corporations and Other Business Enterprises: Cases and Materials (2003, 2006; with Thomas Lee Hazen)
  • Regulation of Bank Financial Service Activities: Cases and Materials (2004; with Lissa Lamkin Broome)
  • Corporate Finance: Cases and Materials (2004; with Thomas Lee Hazen)

References

[edit]
[edit]