Firm Publications and Presentations
2011 – Page, Should the SEC Exercise Its Authority under Dodd-Frank to Prohibit Mandatory Arbitration Clauses, Securities Litigation Journal, American Bar Association
2010 – Messrs. Page and Jones, The Nuts and Bolts of Investment Malpractice, Georgia Trial Lawyers Association
2010 – Page, How to Win the Battle: Representing Wealthy and Sophisticated Investors at the Hearing, Public Investors Arbitration Bar Association
2009 – Terry, The Georgia Uniform Securities Act of 2008: An Analysis of Significant Changes to Georgia’s Blue Sky Law, Georgia Bar Journal
2009 – Page, FINRA Securities Class Action Arbitrations, American Bar Association
2009 – MacIntyre, Toxic Assets: Lessons Learned and What Now – How a Witches Brew of Investment Banking, Financial Engineering, Greed and Short-Term Thinking Created a World-Wide Financial Crisis, Institute of Continuing Legal Education in Georgia
2009 – Jones, Introduction to Section 1983 Litigation: Causes of Action and Defenses, Georgia Trial Lawyers Association annual convention
2009 – Jones, Appeals to the United States Supreme Court, Institute of Continuing Legal Education (ICLE) Federal Appellate Practice seminar
2008 – Page, Transforming the Attitude in the Securities Industry (Auction Rate Securities), Thomson/Aspatore
2008 – Jones, Qualified Immunity in Excessive Force Cases, Lorman Police Misconduct Seminar
2007 – Page, Securities Litigation Update: Key Cases from the Plaintiff’s Perspective, Institute of Continuing Legal Education in Georgia
2007 – Page, Problematic Hearing Issues in Securities Arbitration, Practicing Law Institute, Securities
2007 – MacIntyre, Objective Standards of Suitability Determination, Public Investors Arbitration Bar Association Annual Meeting
2007 – MacIntyre, Introduction to the Financial Services Industry for Life Care Attorneys, How and Why They Abuse Your Clients and What You Can Do About It, Life Care Planning Law Firms Association Annual Conference
2007 – Jones, Scott v. Harris: Police Pursuits and the Supreme Court Experience, Georgia Association of Municipal Attorneys annual seminar
2006 – Page, Problematic Hearing Issues in Securities Arbitration, Public Investors Arbitration Bar Association
2006 – Brannan, Arguments and Authorities Supporting the Viability of Holder Claims, Practicing Law Institute, Securities, PIABA Bar Journal
2006 – Parker, Motions to Vacate: How Much Information Should Arbitrators Disclose?, PIABA Bar Journal
2006 – Jones, Scott v. Harris: The Fourth Amendment in Transition?, National Law Guild annual seminar on civil rights litigation
2005 – Parker, Georgia Securities Act – Let the Buyer Beware!, Georgia Bar Journal
2004 – Jones, Hope for Civil Rights Plaintiffs: The Supreme Court Re-examines Qualified Immunity, Trial magazine
2004 – Jones, Hope for Civil Rights Plaintiffs: The Supreme Court Re-examines Qualified Immunity, Institute of Continuing Legal Education in Georgia seminar paper
2004 – Jones, Police Misconduct Litigation Under Section 1983: The Plaintiff’s Perspective, Institute of Continuing Legal Education in Georgia seminar on local government law
2003 – Perry and Parker, Holding Claims, SLUSA and Other Issues Arising from Enron and WorldCom Litigation, Institute of Continuing Legal Education in Georgia
2002 – Jones, Turning the Law on its Head: One Lawyer’s Experience Before the Highest Court in the Land, Verdict magazine
2001 – Page, The Use of Experts in Securities Arbitration, Practicing Law Institute, Securities
2000 – Jones, Cutting Edge Issues in Police Misconduct Litigation, Professional Education Seminars (PES) police misconduct seminar
1999 – Jones, The Georgia Tort Claims Act and Brantley v. Department of Human Resources, Institute of Continuing Legal Education in Georgia seminar on civil rights litigation
1997 – Page, Emerging Developments in Securities Arbitration, Practicing Law Institute, Securities
1997 – MacIntyre, How to Keep Your Small Business Client in Compliance with Securities Laws, Institute of Continuing Legal Education in Georgia
1996 – Page, Public Investors Arbitration Bar Association Analysis, Observations and Comments to NASD Task Force Report on Securities Reform, PIABA Bar Journal
1996 – Jones, Getting Around Worker’s Compensation Immunity, Verdict magazine
1995 – Page, The Role of Mediation & Early Neutral Evaluation in Facilitating Settlement Negotiations, Practicing Law Institute, Securities
1994 – Page, Evaluating the Choices: How to Select an Appropriate Mediator, Strategic Research Institute
1994 – Page, Representing Customers in Securities Arbitration: Key Considerations in Addressing Case Approach, Pleadings, Credibility, Damages, and the Role of the Law in Arbitrations, Practicing Law Institute, Securities
1992 – Page, The Claimants’ Development and Presentation of Evidence in Arbitration Proceedings, Practicing Law Institute, Securities
1991 – Page, Representing Customers in Securities Arbitration, American Bar Association, Securities
1991 – Page, Securities Arbitration: Is the Playing Field Level from the Customer’s Perspective? ALI-ABA, Securities
1990 – Page, Representing Claimants in Securities Arbitration, Practicing Law Institute, Securities
1989 – Jones, Management of a Section 1983 Case, National Law Guild annual seminar on civil rights litigation
1975 – MacIntyre, Real Estate Syndications as Securities in Georgia, Georgia Bar Journal
