Gordon B. Shneider
Professor Emeritus

B.S., Northwestern University
J.D., DePaul University
LL.M., University of Chicago

Email: gshneider@niu.edu
Phone: (815) 753-0660
Room: 199C

Biography

Gordon Shneider's areas of interest are securities regulation, corporations, corporate finance, and torts. He has taught and written about these subjects regularly since joining the College of Law in 1975. Among his professional memberships are the Board of Directors of the Illinois Institute of Continuing Legal Education and the Committee on Federal Regulation of Securities of the American Bar Association.

Articles

  • A Historical View of Limited Partnership Roll-Ups: Causes, Abuses and Protective Strategies, 72 Denv. U. L. Rev. 403 (1995).
     | Lexis*|  | Westlaw*|  | Hein On-line*|
  • A Model for Relating Defamatory "Opinions" to First Amendment Protected "Ideas," 43 Ark. L. Rev. 57 (1990).
     | Westlaw*|  | Hein On-line*|
  • The Assignment of the Locus of Power to Waive the Attorney-Client Privilege for Insolvency Situation, 1986 Ann. Surv. Bankr. L. 83 (1986).
  • The Sale of a Business Doctrine - Another View, 37 Sw. L.J. 461 (1983), reprinted in Corp. Couns. Ann. 201 (1984).
     | Westlaw*|  | Hein On-line*|
  • Chiarella v. United States: An Analysis of Judicial Approaches to the Regulation of Business Conduct, 17 New. Eng. L. Rev. 61 (1982).
     | Hein On-line*|
  • The Derivative Suit and Blue Chip Standing: The Need for a New Conceptual Framework, 12 Conn. L. Rev. 465 (1980).
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Areas of Expertise:

Corporations, Corporate Finance, Securities Regulation, Torts