| Biography | Adjunct Professor of Law, SMU School of Law. Mr. Javey is the receiver in the Stanford Financial Receivership. He has served as a receiver, special master and monitor in other SEC and federal cases. Co-Author: "New Bank Disclosure Rules," SEC, 1978 Law Journal Seminars, New York, 1978. Author: "Interplay Between I.R.S.'s Definition of "Farming Syndicate" in the Federal and State Securities Laws," Journal of Agricultural Taxation and Law, Vol. 6, No. 2, Summer, 1984; "SEC Investigation of Insider Trading," Securities Regulation Law Journal, Vol. 13, No. 4, Winter, 1986; "Selected Securities and Tax Issues," Journal of Agricultural Taxation and Law, Vol. 8, No. 4, Winter, 1987; "Securities Activities of Banks: Life Beyond Lending," Securities Regulation Law Journal, Vol. 14, No. 4, 1987; "Criminal Prosecution of Insider Trading," Securities Regulation Law Journal, Vol. 15, No. 2, 1987; "Overview of Insider Trading," State Bar of Texas Bulletin of the Section on Corporation, Banking & Business Law, Vol. 25, No. 2, 1987; "Parking of Stock," Securities Regulation Law Journal, Vol. 16, No. 2, 1988; Accountants Audit Liability Manual, Callaghan & Co., 1990; "Short Selling," Securities Regulation Law Journal, Vol. 20, No. 3, 1992; Regulation of the Securities and Commodities Markets, Warren Gorham Lamont, 1992; Member, Board of Contributing Editors and Advisers, Securities Regulation Law Journal. Member, Board of Editors, Journal of Corporate Confidentiality. Consultant, 5-Volume Securities Regulation Reporter published by Warren Gorham Lamont. Arbitrator, National Association of Securities Dealers, Inc. Mr. Janvey is a contributing consultant to the Thompson Reuters on-line Securities Disclosure website. He also published an article in the Securities Regulation Law Journal, Summer 2010, entitled "An Overview of SEC Receiverships". |