Jump to ContentJump to Main Navigation
Lawyers on TrialUnderstanding Ethical Misconduct$

Richard L. Abel

Print publication date: 2010

Print ISBN-13: 9780199760374

Published to Oxford Scholarship Online: January 2011

DOI: 10.1093/acprof:oso/9780199760374.001.0001

Show Summary Details
Page of

PRINTED FROM OXFORD SCHOLARSHIP ONLINE (www.oxfordscholarship.com). (c) Copyright Oxford University Press, 2017. All Rights Reserved. Under the terms of the licence agreement, an individual user may print out a PDF of a single chapter of a monograph in OSO for personal use (for details see http://www.oxfordscholarship.com/page/privacy-policy). Subscriber: null; date: 24 February 2017

(p.485) References

(p.485) References

Source:
Lawyers on Trial
Publisher:
Oxford University Press

Bibliography references:

Abel, Richard L. 1985. “Law Without Politics: Legal Aid under Advanced Capitalism,” 32 UCLA Law Review 474.

–––. 1987. “The Real Tort Crisis—Too Few Claims,” 48 Ohio St. L.J. 443.

–––. 1988. The Legal Profession in England and Wales. Oxford: Basil Blackwell (reprinted as The Making of the English Legal Profession, 1800–1988. Washington, D.C.: Beard Books, 2005).

–––. 1989. American Lawyers. New York: Oxford University Press.

–––. 1990. “A Critique of Torts,” 37 UCLA Law Review 785.

–––. 2003. English Lawyers between Market and State: The Politics of Professionalism. Oxford: Oxford University Press.

–––. 2006–07. “How the Plaintiffs’ Bar Bars Plaintiffs,” 51 New York Law School Law Review 345.

–––. 2008. Lawyers in the Dock: Learning from Attorney Disciplinary Proceedings. New York: Oxford University Press.

Alfieri, Anthony V. 2006. “The Fall of Legal Ethics and the Rise of Risk Management,” 94 Georgetown Law Journal 1909.

American Bar Association, Commission on Evaluation of Disciplinary Enforcement (McKay Commission).1992. Lawyer Regulation for a New Century. Chicago: ABA Center for Professional Responsibility.

American Bar Association, Commission on Evaluation of Professional Standards. 1981. Model Rules of Professional Conduct (Proposed Final Draft). Chicago: ABA.

American Bar Association, Special Committee on Evaluation of Disciplinary Enforcement (Clark Committee). 1970. Problems and Recommendations in Disciplinary Enforcement. Chicago: ABA.

American Bar Association, Standing Committee on Professional Discipline. 2001. California: Report on the Lawyer Regulation System. Chicago: ABA.

Amsterdam, Anthony G., and Jerome Bruner. 2000. Minding the Law. Cambridge, MA: Harvard University Press.

Andrews, Carol Rice. 2004. “Standards of Conduct for Lawyers: An 800-Year Evolution,” 57 SMU Law Review 1385.

Arts, W., R. Batenburg, and P. Groenwegen. 2001. Een kwestie van vertrouwen. Over veranderingen op de markt voor profesionele diensten in de organsatie van vrije beroepen. Amsterdam: Amsterdam University Press.

Asimow, Michael, and Richard Weisberg, 2009. “When the Lawyer Knows the Client Is Guilty: Confessions in Legal Ethics, Popular Culture, and Literature,” 18 Southern California Interdisciplinary Law Journal 229.

Auerbach, Jerold J. 1976. Unequal Justice: Lawyers and Social Change in Modern America. New York: Oxford University Press.

Barton, Benjamin H. 2001. “Why Do We Regulate Lawyers?: An Economic Analysis of the Justifications for Entry and Conduct Regulation,” 33 Arizona Law Journal 429.

–––. 2003. “An Institutional Analysis of Lawyer Regulation—Who Should Control Lawyer Regulation, Courts, Legislatures or the Market,” 37 Georgia Law Review 1167.

Berenson, Steven K. 2001. “Is it Time for Lawyer Profiles?” 70 Fordham L. Rev. 645.

(p.486) Blaustein, Albert P., and Charles O. Porter. 1954. The American Lawyer: a Summary of the Survey of the Legal Profession. Chicago: University of Chicago Press.

Bowman, Frank O. 1996. “A Bludgeon by Any Other Name: The Misuse of ‘Ethical Rules’ against Prosecutors to Control the Law of the State,” 9 Georgetown Journal of Legal Ethics 665.

Brien, A. 1998. “Professional Ethics and the Culture of Trust,” 17 Journal of Business Ethics 391.

Burt, Robert. 1980–81.“Conflict and Trust Between Attorney and Client,” 69 Georgetown Law Journal 1015.

Cagle, M. Christine, J. Michael Martinez, and William D. Richardson. 1999. “Privatizing Professional Licensing Boards: Self-Governance or Self-Interest?” 30 Administration and Society 734.

California Assembly, Subcommittee on the Administration of Justice. 1985. Joint Interim Hearing on Attorney Discipline (September 30).

California Auditor General (CAG). 1976. Review of the State Bar of California. Report 284.1 (August).

–––. 1977a. Opportunities to Improve Management of the State Bar of California. Report 284.2 (January 18).

–––. 1977b. The State Bar’s Implementation of Auditor General Recommendations, Letter Report 296.1 (November 14).

–––. 1977c. Report to the Joint Legislative Audit Committee: A Management Review of Registration, Examination and Discipline. Letter Report 296.2 (December 13).

–––. 1988. A Review of the State Bar of California’s Processing of Complaints against Attorneys Accused of Misusing Client Trust Funds. P-716. (June).

California Joint Legislative Audit Committee, Office of the Auditor General. 1975. The Medical Malpractice Insurance Crisis in California. Report 265.2.

California Legislative Analyst’s Office. 1991. A Review of the State Bar Court (December 19).

California State Auditor. 2001. State Bar of California: It Has Improved Its Disciplinary Process, Stewardship of Members’ Fees, and Administrative Practices, but Its Cost Recovery and Controls Over Expenses Need Strengthening 99-030 (April).

–––. 2003. State Bar of California: Although It Reasonably Sets and Manages Mandatory Fees, It Faces Potential Deficits in the Future and Needs to More Strictly Enforce Disciplinary Policies and Procedures 02-030 (April).

–––. 2005. State Bar of California: It Should Continue Strengthening Its Monitoring of Disciplinary Case Processing and Assess the Financial Benefits of Its New Collection Enforcement Authority 05-030 (April).

Carle, Susan. 2008.“Structure and Integrity,” 93 Cornell Law Review 1311.

Carlin, Jerome E. 1966. Lawyers’ Ethics: A Survey of the New York City Bar. NY: Russell Sage Foundation.

Carlson, Rick J. 1976.“Measuring the Quality of Legal Services: An Idea Whose Time Has Not Come,” 11 Law & Society Review 287.

Carr-Saunders, A.M., and P.A. Wilson. 1933. The Professions. Oxford: Clarendon Press.

Casper, Jonathan D. 1993. “Did You Have a Lawyer When You Went to Court? No, I Had a Public Defender,” in George F. Cole (ed.), Criminal Justice: Law and Politics. Belmont, Ca.: Wadsworth.

Chambliss, Elizabeth. 2006. “The Professionalization of Law Firm In-House Counsel,” 84 University of North Carolina Law Review 1515.

–––. 2009. “New Sources of Managerial Authority in Large Law Firms,” 22 Georgetown Journal of Legal Ethics.

(p.487) Clementi, Sir David. 2004. Review of the Regulatory Framework for Legal Services in England and Wales: Final Report.

Cohen, Stanley. 1972. Folk Devils and Moral Panics: The Creation of the Mods and Rockers. London: MacGibbon & Kee.

Collins, Harry and Trevor Pinch. 2005. Dr. Golem: How to Think about Medicine. Chicago: University of Chicago Press.

Collins, Mary, 1992. “Top Secret: Lawyers on Trial,” American Journalism Review (Jan/Feb).

Commission to Examine Solo and Small Firm Practice. 2006. Report.

Corbin, Lillian, 2005. “How ‘Firm’ Are Lawyers’ Perceptions of Professionalism?” 8 Legal Ethics 265.

Coyle Report. 1984.Report of Subcommittee on Expediting the Disciplinary Process to the State Bar of California Board Committee on Adjudication & Discipline (March 27).

Cressey, Donald R. 1953. Other People’s Money: A study in the social psychology of embezzlement. Glencoe, Ill.: Free Press.

Delker, Neals-Erik William. 1995. “Comment: Ethics and the Federal Prosecutor: The Continuing Conflict over the Application of Model Rule 4.2 to Federal Attorneys,” 44 University of Kansas Law Review 855.

Economides, Kim and Justine Rogers. 2009. Preparatory ethics training for future solicitors. London: Law Society.

Eldred, Tigran W. 2009. “The Psychology of Conflicts of Interest in Criminal Cases,” 58 University of Kansas Law Review 43.

Engstrom, Nora Freeman. 2009. “Run-of-the-Mill Justice,” 22 Georgetown Journal of Legal Ethics 1485.

Evans, Adrian and Josephine Palermo., 2005. “Zero Impact: Are Lawyers’ Values Affected by Law School?” 8 Legal Ethics 240.

Fallers, Lloyd A. 1965. Bantu Bureaucracy: A Century of Political Evolution Among the Soga of Uganda. Chicago: University of Chicago Press.

Feeley, Malcolm. 1979.The Process Is the Punishment: Handling Cases in a Lower Criminal Court. New York: Russell Sage Foundation.

Fellmeth, Robert C. 1987a. “The Discipline System of the California State Bar: An Initial Report,” 7(3) California Regulatory Reporter 1 (Summer) (abbreviated version of 1987b).

–––. 1987b. A Report on the Performance of the Disciplinary System of the California State Bar. Initial Report (June 1).

–––. 1987c. First Progress Report of the State Bar Discipline Monitor (November).

–––. 1988a. Second Progress Report of the State Bar Discipline Monitor (April 1).

–––. 1988b. Third Progress Report of the State Bar Discipline Monitor (September 1).

–––. 1989a. Fourth Progress Report of the State Bar Discipline Monitor (March 1).

–––. 1989b. Fifth Progress Report of the State Bar Discipline Monitor (September 1).

–––. 1990a. Sixth Progress Report of the State Bar Discipline Monitor (March 1).

–––. 1990b. Seventh Progress Report of the State Bar Discipline Monitor (September 1).

–––. 1991a. Eighth Progress Report of the State Bar Discipline Monitor (March 1).

–––. 1991b. Final Report of the State Bar Discipline Monitor (September 20).

Felstiner, William L.F., Richard L. Abel and Austin Sarat. 1981. “The Emergence and Transformation of Disputes: Naming, Blaming, Claiming…,” 14 Law & Society Review 631.

Freedman, Monroe, 1993. “The Lawyer Who Hates SNITCHES,” Legal Times (May 3).

(p.488) Gallagher, William Thomas. 1993. “Controlling Professions: The ‘Crisis’ of Professional Self-Regulation in the California State Bar.” Ph.D. dissertation, Jurisprudence and Social Policy, University of California, Berkeley.

Garbus, Martin and Joel Seligman. 1976. “Sanctions and Disbarment: They Sit in Judgment,” in Ralph Nader and Mark Green (eds.), Verdicts on Lawyers. New York: Crowell.

Garland, David. 2008. “On the Concept of Moral Panic,” 4 Crime, Media, Culture 9.

Gawande, Atul. 2010. The Checklist Manifesto: How to Get Things Right. N.Y.: Metropolitan Books.

Gershman, Bennett L. 1992. “The New Prosecutors,” 53 University of Pittsburg Law Review 393.

Gilb, Corinne Lathrop. 1956. Self-Regulating Professions and the Public Welfare: A Case Study of the California State Bar. Ph.D. thesis, History of American Civilization, Radcliffe College.

Gillers, Stephen. 1993. Report on Lawyer Discipline submitted to the Supreme Court of New Jersey.

Glueck, Sheldon and Eleanor Glueck. 1950. Unraveling Juvenile Delinquency. Cambridge, Mass.: Harvard University Press.

Goode, Erich and Nachman Ben-Yehuda. 1994. “Moral Panics: Culture, Politics, and Social Construction,” 20 Annual Review of Sociology 149.

Green, Bruce A. 2007. “Criminal Defense Lawyering at the Edge: A Look Back,” 36 Hofstra Law Review 353.

Greenbaum, Arthur F. 2009. “Judicial Reporting of Lawyer Misconduct,” 77 UMKC Law Review 537.

Griffiths-Baker, Janine. 2002. Serving Two Masters: Conflicts of Interest in the Modern Law Firm. Oxford: Hart Publishing.

Grossman, Steven A. 1976. “An Analysis of 1975 Legislation Relating to Medical Malpractice,” in David G. Warren and Richard Merritt (eds.), A Legislator’s Guide to the Medical Malpractice Issue 3–11. Washington, D.C.: Georgetown University Health Policy Center and National Conference of State Legislatures.

Hall, Kath. 2010. “Why Good Intentions Are Often Not Enough: The potential for ethical blindness in legal decision-making,” in Reid Mortensen, Michael Robertson, Lillian Cobin, Francesca Bartlett, and Kieran Tranter (eds.). Reaffirming Legal Ethics. London: Routledge.

Hall, Kath and Vivien Holmes. 2009. “The Power of Rationalization to Influence Lawyers’ Decisions to Act Unethically,” 11 Legal Ethics 137.

Haller, Linda. 2009. “A Consumer Discipline Tribunal: Tribunal responses to consumer protection reforms.” Presented to the Annual Conference of the Law and Society Association, Denver, May.

Halliday, Terrence C. 1987. Beyond Monopoly: Lawyers, State Crises, and Professional Empowerment. Chicago: University of Chicago Press.

Handler, Joel F. 1967. The Lawyer and His Community. Madison: University of Wisconsin Press.

Harvard Civil Rights—Civil Liberties Law Review. 1970. “Comment: Controlling Lawyers by Bar Associations and Courts,” 35 Harvard Civil Rights—Civil Liberties Law Review 301.

Heinz, John P. and Edward O. Laumann. 1982. Chicago Lawyers: The Social Structure of the Bar. NY: Russell Sage Foundation and Chicago: ABA.

(p.489) Hellman, Lawrence K. 2010. “Carnegie’s Missing Step: Prescribing lawyer retraining,” in Reid Mortensen, Michael Robertson, Lillian Cobin, Francesca Bartlett, and Kieran Tranter (eds.), Reaffirming Legal Ethics. London: Routledge.

Holmes, Oliver Wendell, Jr. 1897. “The Path of the Law,” 10 Harvard Law Review 457.

Hunt, Alan, 1999. “The Purity Wars: Making sense of moral militancy,” 3 Theoretical Criminology 409.

Hunt, Arnold. 1997. “‘Moral Panic’ and Moral Language in the Media,” 48 British Journal of Sociology 629.

Hunter, J. Robert, Gillian Cassell-Stiga, and Joanne Doroshow. 2009. True Risk: Medical Liability, Malpractice Insurance and Health Care. New York: Americans for Insurance Reform.

Kay, Fiona M., John Hagan, and Patricia Parker. 2009. “Principals in Practice: The Importance of Mentorship in the Early Stages of Career Development,” 31 Law & Policy 69.

Kay, Fiona M., and Jean E. Wallace. 2009. “Mentors as Social Capital: Gender, Mentors, and Career Rewards in Law Practice,” 79 Sociological Inquiry 418.

Keene, Barry, 1976. “California’s Medical Malpractice Crisis,” in David G. Warren and Richard Merritt (eds.), A Legislator’s Guide to the Medical Malpractice Issue 27–34. Washington, D.C.: Georgetown University Health Policy Center and National Conference of State Legislatures.

Kritzer, Herbert M. 1998. “The Wages of Risk: The Returns of Contingency Fee Legal Practice,” 47 DePaul Law Review 267.

Kroeker, Mark A. 1985. Investigative Process of State Bar of California: A Consulting Report to the State Bar Subcommittee on Expediting the Disciplinary Process (June 20).

Lebovits, Gerald. 2009. “NYCLA’s Fee-Dispute Program: Part 137,” New York County Lawyer 4 (April).

Levin, Leslie C. 2004–05. “The Ethical World of Solo and Small Law Firm Practitioners,” 41 Houston Law Review 309.

Levine, Samuel J., and Russell G. Pearce. 2009. “Rethinking the Legal Reform Agenda: Will Raising the Standards for Bar Admission Promote or Undermine Democracy, Human Rights, and Rule of Law?” 77 Fordham Law Review 1635.

Long, Alex B. 2009. “Whistleblowing Attorneys and Ethical Infrastructures,” 68 Maryland Law Review 101.

Luban, David. 2007. Legal Ethics and Human Dignity. New York: Cambridge University Press.

Lui, Elwood. 1999a. Report of Special Master, 12.4.98–2.11.99. In re attorney discipline system; Requests of the Governor and the State Bar of California (s073756) (filed February 16).

–––. 1999b. Report of Special Master, 2.12–6.22.99 (filed June 24).

–––. 1999c. Report of Special Master 6.23–9.24.99 (filed October 12).

–––. 2000. Report of the Special Master, 9.25.99–3.28.00.

Macaulay, Stewart. 1963. “Non-contractual Relations in Business: A Preliminary Study,” 28 American Sociological Review 55.

Markovits, Daniel. 2008. A Modern Legal Ethics: Adversary Advocacy in a Democratic Age. Princeton, N.J.: Princeton University Press.

Mashburn, Amy. 1995. “A Clockwork Orange Approach to Legal Ethics: A Conflicts Perspective on the Regulation of Lawyers by Federal Courts,” 8 Georgetown Journal of Legal Ethics 473.

(p.490) Matz, A. Howard. 1991. “Lawyers on the Attack: Prosecutors’ and Defense Lawyers’ Effort to Curb the Other Side’s Perceived Misconduct,” 161 PLI/Crim 177.

Matza, David. 1964. Delinquency and Drift. New York: John Wiley & Sons.

McConville, Michael and Chester L. Mirsky. 1986–87. “Criminal Defense of the Poor in New York City,” 15(4) Review of Law & Social Change (Special Issue).

McRobbie, Angela, and Sarah L. Thornton. 1995.“Rethinking ‘Moral Panic’ for Multi-Mediated Social Worlds,” 46 British Journal of Sociology 559.

Mellinkoff, David. 1973. The Conscience of a Lawyer. St. Paul, Minn.: West Publ. Co.

Mercer, Peter, Margaret Ann Wilkinson, and Terra Strong. 1996. “The Practice of Ethical Precepts: Dissecting Decision-Making by Lawyers,” 9 Canadian Journal of Law and Jurisprudence 141.

Mercer, Peter, Christa Walker, and Margaret Ann Wilkinson. 2005. “Testing Theory and Debunking Stereotypes: Lawyers’ Views on the Practice of Law,” 18 Canadian Journal of Law and Jurisprudence 165.

Moliterno, James. 2005. “Politically Motivated Bar Discipline,” 83 Washington University Law Quarterly 725.

Moorhead, Richard and Rebecca Cumming. 2009. “Something for nothing? Employment Tribunal claimants’ perspectives on legal funding.” London: Employment Market Analysis and Research, Department for Business Innovation and Skills.

Parikh, Sara. 2001. Professionalism and Its Discontents: A Study of Social Networks in the Plaintiffs’ Personal Injury Bar. Ph.D. dissertation, sociology, University of Illinois, Chicago.

–––. 2006–07. “How the Spider Catches the Fly: Referral Networks in the Plaintiffs’ Personal Injury Bar,” 51 New York Law School Law Review 243.

New York University Law Review. 1974. “Note: Attorney Discipline and the First Amendment,” 49 New York University Law Review 922.

Parsons, Talcott. 1968. “Professions,” 12 International Encyclopedia of the Social Sciences 536. New York: Macmillan.

Paterson, Alan. 2008. “Breach of Trust or Breach of Loyalty: How Best to Characterise Lawyer Deviance?” 11 Legal Ethics 115.

Paton, Paul D. 2008.“Between a Rock and a Hard Place: The Future of Self-Regulation—Canada between the United States and the English/Australian Experience,” 2008 Professional Lawyer 87.

Perlman, Andrew M. 2003. “Toward a Unified Theory of Professional Regulation,” 55 Florida Law Review 977.

Phillips, Orie L., and Philbrick McCoy. 1952. Conduct of Judges and Lawyers: A Study of Professional Ethics, Discipline, and Disbarment. Los Angeles: Parker.

Pinaire, Brian K, Milton J. Heumann, and Jennifer Lerman. 2006.“Barred from the Bar: The Process, Politics, and Policy Implications of Discipline for Attorney Felony Offenders,” 13 Virginia Journal of Social Policy and Law 290.

Pipkin, Ronald M. 1979. “Law School Instruction in Professional Responsibility: A Curricular Paradox,” 1979 American Bar Foundation Research Journal 247.

Powell, Michael J. 1986. “Professional Divestiture: The Cession of Responsibility for Lawyer Discipline,” 1986 American Bar Foundation Research Journal 31.

Practising Law Institute. 1992. The Attorney-Client Relationship After Kaye-Scholer (Corporate Law and Practice Course Handbook Series Number 779). New York: PLI.

Redman, Barbara K., and Jon F. Merz. 2008. “Scientific Misconduct: Do the Punishments Fit the Crime?” 321 Science 775.

(p.491) Regan, Milton C., Jr. 2004. Eat What You Kill: The Fall of a Wall Street Lawyer. Ann Arbor: University of Michigan Press.

Reichstein, Kenneth J. 1964. The Professional Ethics of Lawyers: A Situational Approach to the Study of Deviation and Control. Ph.D. dissertation, sociology, Northwestern University.

–––. 1965. “Ambulance Chasing: A Case Study of Deviation and Control within the Legal Profession,” 13 Social Problems 3.

Rhode, Deborah L. 1985.“Moral Character as a Professional Credential,” 94 Yale Law Journal 491.

Richmond, Douglas R. 2007-08. “Professional Responsibilities of Law Firm Associates,” 45 Brandeis Law Journal 199.

–––. 2009. “Legal Ethics in Legal Education,” 16 Clinical Law Review 43.

Robinson, W.W. 1959. Lawyers of Los Angeles: A History of the Los Angeles Bar Association and the Bar of Los Angeles County. Los Angeles: Los Angeles Bar Association.

Rosenthal, Douglas E. 1974. Lawyer and Client: Who’s In Charge. New York: Russell Sage Foundation.

–––. 1976.“Evaluating the Competence of Lawyers,” 11 Law & Society Review 257.

Rosenthal, Marilynn. 1988.Dealing with Medical Malpractice: The British and Swedish Experience. Durham, N.C.: Duke University Press.

Ross, H. Lawrence. 1970. Settled Out of Court: The Social Process of Insurance Claims Adjustments. Chicago: Aldine.

Rostain, Tanina. 2006a. “Partners and Power: The Role of Law Firm Organizational Factors in Attorney Misconduct,” 19 Georgetown Journal of Legal Ethics 281.

–––. 2006b. “Sheltering Lawyers: The Organized Tax Bar and the Tax Shelter Industry,” 23 Yale Journal on Regulation 77.

Royal Commission on Legal Services. 1979. Final Report. London: HMSO (Cmnd 7648).

Scheingold, Stuart A., and Austin Sarat. 2004. Something to Believe In: Politics, Professionalism, and Cause Lawyering. Stanford: Stanford University Press.

Schneyer, Theodore J. 1983. “The Incoherence of the Unified Bar Concept: Generalizing from the Wisconsin Case,” 1983 American Bar Foundation Research Journal 1.

Schwartz, Murray L., and Theodore Mitchell. 1970. “An Economic Analysis of the Contingent Fee in Personal Injury Litigation,” 22 Stanford Law Review 1125.

Scott, Marvin B. and Stanford M. Lyman. 1968. “Accounts,” 33 American Sociological Review 46.

Seron, Carroll. 1996. The Business of Practicing Law: The Work Lives of Solo and Small Firm Attorneys. Philadelphia, PA: Temple University Press.

Shapiro, David. 1999. Neurotic Styles. New York: Basic Books.

Shapiro, Susan P. 2002. Tangled Loyalties: Conflict of Interest in Legal Practice. Ann Arbor: University of Michigan Press.

Smedley, Nick. 2009. Review of the Regulation of Corporate Legal Work. London: Law Society.

Smith, Bradley A. 1994. “The Limits of Compulsory Professionalism: How the Unified Bar Harms the Legal Profession,” 22 Florida State University Law Review 36.

State Bar of California. 1990a.Discipline System: The State Bar Court (January).

–––. 1990b. Lawyer Discipline in California: A progress report for 1988 and 1989.

–––. 1995. 1994 Report on the State Bar of California Discipline System. (April).

–––. 1996. 1995 Report on the State Bar of California Discipline System (April).

–––. 1997. 1996 Report on the State Bar of California Discipline System (April).

–––. 1999. 1998 Report on the State Bar of California Discipline System (April).

(p.492) –––. 2000. 1999 Report on the State Bar of California Discipline System (April).

–––. 2001a. 2000 Report on the State Bar of California Discipline System (April).

–––. 2001b. Investigation and Prosecution of Disciplinary Complaints Against Attorneys in Solo Practice, Small Size Law Firms and Large Size Law Firms (June).

–––. 2002. 2001 Report on the State Bar of California Discipline System (March).

–––. 2003. 2002 Report on the State Bar of California Discipline System (April).

–––. 2004. 2003 Report on the State Bar of California Discipline System (April).

–––. 2005. 2004 Report on the State Bar of California Discipline System (April).

–––. 2006. 2005 Report on the State Bar of California Discipline System (April).

–––. 2007. 2006 Report on the State Bar of California Discipline System (April).

–––. 2008. 2007 Report on the State Bar of California Discipline System (April).

State Bar of California, Discipline Evaluation Committee (Alarcon Committee). 1994. Report to Board of Governors (August 27).

State Bar of California, State Bar Court. 1994.Response of the State Bar Court to the Report of the Discipline Evaluation Committee (November).

Stracher, Cameron. 1998. Double Billing: A Young Lawyer’s Tale of Greed, Sex, Lies, and the Pursuit of a Swivel Chair. New York: William Morrow.

Swaine, Robert T. 1946–48. The Cravath Firm and Its Predecessors (2 vols.). New York: privately printed.

Tarbell, Ida M. 1925. The Life of Elbert H. Gary: The Story of Steel. New York: D. Appleton & Co.

Tarlow, Barry. 1991.“RICO Report: Thornburg’s [sic] Folly Update,” 15 The Champion 42 (March).

–––. 1992. “RICO Report: Who Will Watch Justice’s Watchdogs?” 16 The Champion 33 (September/October).

–––. 1995. “The Moral Conundrum of Representing the Rat,” 19(7) The Champion 15 (August).

–––. 1996. “RICO Report: California Supreme Court Dumps Twitty,” 20 The Champion 54 (April).

–––. 1997. “RICO Report: Ethics Rules Really Do Apply to AUSAs,” 21 The Champion 53 (September/October).

–––. 1998. “RICO Report,” 22 The Champion (May).

–––. 1999. “RICO Report,” 23 The Champion (June).

Terry, Laurel S. 2008. “The Future Regulation of the Legal Profession: The Impact of Treating the Legal Profession as ‘Service Providers,” 2008 Journal of the Professional Lawyer 189.

Thornburgh, Richard. 1991. “Ethics and the Attorney General: The Attorney General Responds,” 74 Judicature 290 (April–May).

Turrentine, Lowell. 1935. “May the Bar Set its Own House in Order?” 34 Michigan Law Review 200.

Ungar, Sheldon. 2001. “Moral Panic versus the Risk Society: The implications of the changing sites of social anxiety,” 52 British Journal of Sociology 271.

Van Hoy, Jerry. 1997. Franchise Law Firms and the Transformation of Personal Legal Services. Westport, Ct.: Quorum Books.

Veblen, Thorstein. 1925. The Theory of the Leisure Class: An Economic Study of Institutions. London: George Allen & Unwin.

Wallace, Jean E., and Fiona M. Kay. 2008.“The professionalism of practising law: A comparison across work contexts,” 29 Journal of Organizational Behavior 1021.

(p.493) Ward, Baxter. 1974. Illegal Attorney Referral Activity in Los Angeles County (Report to the Board of Supervisors).

Ward, Stephanie Francis. 2010. “Grade Anxiety,” ABA Journal 49 (February).

Weber, David O. 1987. “‘Still in Good Standing’: The Crisis in Attorney Discipline,” 73 ABAJ 58 (November).

Wendel, W. Bradley. 2009. “If Lifelong Learning is the Solution, What is the Problem?” Available at SSRN: http://ssrn.com/abstract=1361695.

Wilkinson, Margaret Ann, Christa Walker, and Peter Mercer. 2000. “Do Codes of Ethics Actually Shape Legal Practice?” 45 McGill Law Journal 645.

Wood, A.Y. 1926. “State Bar Organizations in California,” in Historical and Contemporary Review of the Bench and Bar of California. San Francisco: Recorder Printing and Publishing Co..

Zacharias, Fred C. 2003a. “Reform or Professional Responsibility as Usual: Whither the Institutions of Regulation and Discipline?” 2003 University of Illinois Law Review 1505.

–––. 2003b. “The Purposes of Lawyer Discipline,” 45 William and Mary Law Review 675.

–––. 2008. “Effects of Reputation on the Legal Profession,” 65 Washington and Lee Law Review 173.

–––. 2009a. “The Myth of Self-Regulation,” 93 Minnesota Law Review 1147.

–––. 2009b. “Integrity Ethics,” 22 Georgetown Journal of Legal Ethics 541.

Zacharias, Fred C., and Bruce A. Green. 2003.“Federal Court Authority to Regulate Lawyers: A Practice in Search of a Theory,” 56 Vanderbilt Law Review 1303.

–––. 2009a. “The Duty to Avoid Wrongful Convictions: A Thought Experiment in the Regulation of Prosecutors,” 89 Boston University Law Review 1.

–––. 2009b. “Rationalizing Judicial Regulation of Lawyers,” 70 Ohio State Law Journal 73. (p.494)