HOME> ATTORNEY BIOGRAPHIES> ANDREW J. MORRIS
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- Clarifying The Authority Of Bankruptcy Trustees: Why Post-Confirmation Trustees Cannot Assert Creditors’ Claims Against Third Parties, American Bankruptcy Institute Law Review (forthcoming 2012)
- Clear Thinking—And Plain Speaking—About Litigation Assessments, (co-author), Association of Corporate Counsel Docket (forthcoming)
- What Judges Want: The Essentials of Writing for a Court, The Maryland Litigator (January 2011)
- Preparing The Accounting And Auditing Expert Witness (ALI-ABA forthcoming)
- Questions That Directors Should Be Ready To Answer [In Court], Executive Counsel (August/September 2010)
- What Financial Institutions Should Know About Internal Investigations, Westlaw Journal Bank and Lender Liability, Volume 16 (2010)
- Opposing Class Certification in Securities Claims Against Auditors (ALI-ABA
July 2010) - Imputation and the In Pari Delicto Defense in Auditor-Liability Cases, 42 Securities Regulation & Law Report 797 (2010)
- The Law of Accountant Liability in The District of Columbia, Maryland and Virginia (Carr Maloney publication) (editor and co-author)
- You've Been Served: A Guide For Accountants, (co-author) Law 360 (August 7, 2009)
- Seven Defensive Steps to Avoiding Accounting Malpractice Claims, (co-author) CPA Magazine (May 29, 2009)
- Some Insights Into the Effect of Tellabs [on securities fraud claims], Securities Law 360 (May 20, 2009)
- Limiting the Testimony of Lay Witnesses [in professional malpractice cases], 25 Corporate Counsel Weekly 64 (2009)
- Contending with Agency Touhy Regulations: Compelling Federal Agencies [Securities and Exchange Commission] to Comply with Federal-Court Subpoenas, (co-author) Securities Regulation & Law Report, Vol. 40, No. 16 (2008)
- Subprime Securities Litigation: Three Threshold Issues, (co-author) 39 Securities Regulation & Law Report 1997 (2007)
- Subprime Mortgage Lending: Possible Securities Litigation Exposure, (co-author) 39 Securities Regulation & Law Report 1429 (2007)
- Current Issues In Executive Compensation: What Directors Should Know, Mayer Brown publication (2007)
- Clarifying Loss Causation: Reconciling the 'Zone of Risk' Test with Dura Pharmaceuticals, (co-author) 38 Securities Regulation & Law Report 1910 (2006)
- Why Claims Under the Securities Act of 1933 Are Removable to Federal Court, (co-author) 36 Securities Regulation & Law Report 626 (2004)
- Banking Regulators Expand Their Powers to Discipline Accountants: New Regulations Raise Questions About Agency Powers and Procedures , 17 Bank & Lender Liability Litigation Reporter 14 (2004)
- Jurisdiction in Cyberspace (book chapter), in E-Commerce (Law Journal Seminars Press 2001)
- Particular Actions and Proceedings (class actions, declaratory judgments, shareholder derivative actions, injunctions) (book chapter), (co-editor and co-author) West’s Federal Practice Guide, 7th Circuit (West 1999)
- Avoiding and Defending Against Securities Class Actions, 3 Journal of Internet Law (May 1999)
- An Overview of Year 2000 Litigation Risks Confronting Financial Institutions, 13 Journal of International Banking Law (October 1998)
- Federal Rule of Evidence 404(b): The Fictitious Ban on Character Reasoning from Other Crimes Evidence, 17 Review of Litigation (U. of Texas Law School) 181 (1998)
- A RICO Near Hit On Collateral Insurance: Lessons for Lenders, 15 Banking Policy Report no. 19 (1996)
- Confidentiality of Discovery Documents, 7 Pretrial Practice & Discovery (American Bar Association, Fall 1996)
- Litigation Risk from Imprecise Disclosure or Calculation of Borrower Costs, 10 Journal of International Banking Law 213 (1996)
- Class Action Suits: Will the Next Wave Soak Consumer Lenders?, Mayer, Brown & Platt Financial Services Regulatory Report (1996)
- Accounting for Lawyers, American Corporate Counsel Association (1992)
Other Publications:
- Some Challenges For Legal Pragmatism: A Closer Look At Pragmatic Legal Reasoning, 28 N. Ill. U.L. Rev. 1 (2007)
- Clarifying the Imputation Doctrine: Charging Audit Clients with Responsibility for Unauthorized Audit Interference, 2001 Columbia Business Law Review 339
- E-Commerce: Financial Products and Services (Law Journal Seminars Press rev’d ed. 2005) (co-editor)
- Practical Reasoning and Contract as Promise, 55 Cambridge (University) Law Journal 147 (1997)
- The Competing Models of Discrimination Law as Aristotelian Forms of Justice, 15 Oxford (University) Journal of Legal Studies 199 (1995)
- Book review contributor to periodicals including Legal Times, Jurist (The Law Professors’ Network), and The American Lawyer






