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50 U. Louisville L. Rev. 491 (2012)
Thinking Before Rulemaking: Why the SEC Should Think Twice Before Imposing a Uniform Fiduciary Standard on Broker-Dealers and Investment Advisers
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* J.D. Candidate (May 2012), Brandeis School of Law; B.A., Xavier University (2009). The author would like to thank his mom, dad, and girlfriend, Rebecca, for all their love and support.