Hostname: page-component-77c89778f8-gvh9x Total loading time: 0 Render date: 2024-07-18T12:48:32.640Z Has data issue: false hasContentIssue false

Bushwhacking the Ethical High Road: Conflict of Interest in the Practice of Law and Real Life

Published online by Cambridge University Press:  27 December 2018

Abstract

A long-standing scholarly tradition regards professions, in general, and ethics rules, in particular, as “projects” of market control. It is no surprise, critics charge, that in the latest assault on the monopoly of the American legal profession–waged by multidisciplinary professional service firms–lawyers are hiding behind their ethics rules to protect their turf.

In this article, I report on an extensive empirical study of conflict of interest in private legal practice and look comparatively at other fiduciaries, among them, accountants, psychotherapists, physicians, journalists, and academics. I investigate the role of ethics rules that seek to insure fiduciary loyalty in structuring the delivery of services. How does social and institutional change, roiling the fiduciary world, threaten disinterestedness and loyalty and how, if at all, do fiduciaries respond? How is the regulation of conflict of interest accomplished? Where are the conflicts rules most likely to be honored or ignored? What incentive structures encourage compliance? What are the costs and unexpected consequences of compliance? What is foregone? And is it all worth it?

In what might come as a surprise to many, I find that the legal profession takes conflict of interest more seriously than many of the rest of us. As the title implies, legal practitioners largely travel alone, bushwhacking through the underbrush snarling the ethical high road. As critical scholarship predicted, lawyers do enjoy a monopoly at the end of the road. But this monopoly is achieved, not by restraint of trade or some other artifice or stratagem of market control, but by lack of competition. It seems that no one else is trudging alongside the lawyers. Lawyers are not necessarily more ethical than the others; they just behave more ethically–at least with respect to conflict of interest. The question is why. And what difference does it make?

Type
Articles
Copyright
Copyright © American Bar Foundation, 2003 

Access options

Get access to the full version of this content by using one of the access options below. (Log in options will check for institutional or personal access. Content may require purchase if you do not have access.)

References

Abbott, Andrew. 1983. Professional Ethics. American Journal of Sociology 88: 855–85.Google Scholar
Abbott, Andrew, 1988. The System of Professions: An Essay on the Division of Expert Labor. Chicago: University of Chicago Press.Google Scholar
Abel, Richard L. 1981. Why Does the ABA Promulgate Ethical Rules Texas Law Review 59: 639–88.Google Scholar
Abel, Richard L., 1989. American Lawyers. New York: Oxford University Press.Google Scholar
Aldhizer, George R., and Cashell, James D. 1996. Internal Audit Outsourcing. CPA Journal 66: 4042.Google Scholar
Allegretti, Joseph. 1991. Have Briefcase Will Travel: An Essay on the Lawyer as Hired Gun. Creighton Law Review 24: 747–80.Google Scholar
Allen, Michael Patrick. 1974. The Structure of Interorganizational Elite Cooptation: Interlocking Corporate Directorates. American Sociological Review 39: 393406.Google Scholar
Altman, Lawrence K. 1994. The Doctor's World: Some Authors in Medical Journals May Be Paid by “Spin Doctors. New York Times, 4 October, C3.Google Scholar
Alva, Marilyn. 1992. Have Restaurant Reviewers Gone Soft Restaurant Business Magazine, 10 June, 92.Google Scholar
American Association of University Professors. 1983. Corporate Funding of Academic Research. Academe 69 (6): 18a23a.Google Scholar
American Association of University Professors. 1993. The Status of Non-Tenure Track Faculty. Report of Committee G on Part-Time and Non-Tenure-Track Appointments. Washington, D. C.: American Association of University Professors. Also available at http://www.aaup.org/statements/Redbook/Rbnonten.htm.Google Scholar
American Association of University Professors. 1997. AAUP President Testifies before National Commission on the Cost of Higher Education. 28 October. Available at http://www.aaup.org/newsroom/press/1997/prcost.htm.Google Scholar
American Bar Association 1969 (amended). ABA Model Code of Professional Responsibility. Chicago: American Bar Association.Google Scholar
American Bar Association. 1983 (amended). ABA Model Rules of Professional Conduct. Chicago: American Bar Association.Google Scholar
American Bar Association. 2001. Report 401: Amendments to Model Rules of Professional Conduct (Ethics 2000) to the House of Delegates. Annual Meeting of the American Bar Association, 6–7 August.Google Scholar
American Bar Association. 2002. ABA Model Rules of Professional Conduct, as Amended February, 2002. Chicago: American Bar Association.Google Scholar
American Bar Association, Commission on Multidisciplinary Practice. 1999a. Background Paper on Multidisciplinary Practice: Issues and Developments. Chicago: American Bar Association.Google Scholar
American Bar Association, 1999b. Report to the House of Delegates: Recommendation. Chicago: American Bar Association.Google Scholar
American Bar Association, Section of Business Law and the Center for Continuing Legal Education. 1996. Saying Goodbye to Hourly Billing? How to Succeed in the New Economic Climate: An ABA Satellite Seminar. Chicago: American Bar Association.Google Scholar
American Bar Association, Standing Committee on Ethics and Professional Responsibility. 1993. Formal Opinion 93–372: Waivers of Future Conflicts of Interest. Chicago: American Bar Association.Google Scholar
American Bar Association. 1995. Formal Opinion 95–390: Conflicts of Interest in the Corporate Family Context. Chicago: American Bar Association.Google Scholar
American Institute of Certified Public Accountants. 1997. Serving the Public Interest: A New Conceptual Framework for Auditor Independence [White Paper]. Presented to the Independence Standards Board, 20 October. New York: American Institute of Certified Public Accountants.Google Scholar
American Institute of Certified Public Accountants, SEC Practice Section. 1992. Statement of Position Regarding Mandatory Rotation of Audit Firms of Publicly Held Companies. New York: American Institute of Certified Public Accountants.Google Scholar
American Law Institute. 2000. Restatement of the Law, Third, the Law Governing Lawyers. Philadelphia: American Law Institute.Google Scholar
American Psychological Association Insurance Trust. 2002. The Trust Advocate 800 Risk Management Program. Available at http://www.apait.org/resources/riskmanagement/advocate.Google Scholar
Angell, Marcia. 2000. Is Academic Medicine for Sale New England Journal of Medicine 342: 1516–18.Google Scholar
Association of University Technology Managers. 1999. AUTM Licensing Survey, FY 1999. Northbrook, Ill.: Association of University Technology Managers.Google Scholar
Attorney Registration and Disciplinary Commission of the Supreme Court of Illinois. 1994. Annual Report. Chicago, Illinois.Google Scholar
Attorney Registration and Disciplinary Commission of the Supreme Court of Illinois. 1995. Annual Report. Chicago, Illinois.Google Scholar
Attorneys' Liability Assurance Society. 1991. Annual Report. Hamilton, Bermuda: Attorneys' Liability Assurance Society.Google Scholar
Auerbach, Jerald S. 1976. Unequal Justice: Lawyers and Social Change in Modern America. New York: Oxford University Press.Google Scholar
Backlar, Patricia. 1996. Managed Mental Health Care: Conflicts of Interest in the Provider-Client Relationship. Community Mental Health Journal 32: 101–6.Google Scholar
Bagdikian, Ben H. 1983. The Media Monopoly. Boston: Beacon Press.Google Scholar
Bailey, Charles W. 1984. Conflicts of Interest: A Matter of Journalistic Ethics. New York: National News Council.Google Scholar
Baker, C. Edwin. 1994. Advertising and a Democratic Press. Princeton, N. J.: Princeton University Press.Google Scholar
Baker, Russ W. 1997. The Squeeze. Columbia Journalism Review, September-October, 3034.Google Scholar
Baker, Tom, and Hazard, Geoffrey. 199798. Liability Insurance Conflicts and Defense Lawyers: From Triangles to Tetrahedrons. Connecticut Insurance Law Journal 4: 101–51.Google Scholar
Balestier, Bruce. 1998. Under One Roof: ABA Faces Arrival of Lawyer-Accountant Pairings. New York Law Journal, 19 November, 5.Google Scholar
Barkume, Megan. 1996. The Job Market for Ph. D.'s: Two Views. Occupational Outlook Quarterly 40 (Winter): 215.Google Scholar
Bamard, Jayne W. 1988. Curbing Management Conflicts of Interest–the Search for an Effective Deterrent. Rutgers Law Review 40: 369427.Google Scholar
Barringer, Felicity. 1998. Reporters, Book Deals and Conflicts. New York Times, 8 May, A15.Google Scholar
Bateman, Randall B. 1995. Return to the Ethics Rules as a Standard for Attorney Disqualification: Attempting Consistency in Motions for Disqualification by the Use of Chinese Walls. Duquesne Law Review 33: 249–81.Google Scholar
Baughman, James C. 1987. Trustees, Trusteeship, and the Public Good: Issues of Accountability for Hospitals, Museums, Universities, and Libraries. New York: Quorum Books.Google Scholar
Bazerman, Max H., Morgan, Kimberly P., and Loewenstein, George F. 1997. The Impossibility of Auditor Independence. Sloan Management Review 38 (Summer): 8994.Google Scholar
Benditt, Theodore M. 1994. The Research Demands of Teaching in Modern Higher Education. In Markie 1994, 193208.Google Scholar
Benjamin, Ernst. 1998. On the Excessive Reliance on Part-Time Appointments. Academe 84: 26.Google Scholar
Berlant, Jeffrey L. 1975. Profession and Monopoly: A Study of Medicine in the United States and Great Britain. Berkeley and Los Angeles: University of California Press.Google Scholar
Birch, Douglas M., and Cohn, Gary. 2001. The Changing Creed of Hopkins Science: What Once Was Heresy Is Now the Mission: A Partnership with Business to Advance Research. Baltimore Sun, 25 June, 1A.Google Scholar
Black, Jay, Steele, Bob, and Barney, Ralph. 1995. Doing Ethics in Journalism: A Handbook with Case Studies. Boston: Allyn and Bacon.Google Scholar
Blumberg, Abraham S. 1967. The Practice of Law as a Confidence Game: Organizational Cooptation of a Profession. Law & Society Review 1: 1539.Google Scholar
Blumenstyk, Goldie. 1993. Colleges Eye More-Rigorous Policies to Guard against Conflicts of Interest. Chronicle of Higher Education, 24 February, A29, A31.Google Scholar
Blumenthal, David. 1996. Ethics Issues in Academic-Industry Relationships in the Life Sciences: The Continuing Debate. Academic Medicine 71: 1291–96.Google Scholar
Blumenthal, David, Causino, Nancyanne, Campbell, Eric, and Louis, Karen Seashore. 1996. Relationships between Academic Institutions and Industry in the Life Sciences–an Industry Survey. New England Journal of Medicine 334: 368–73.Google Scholar
Bodenheimer, Thomas. 2000. Conflict of Interest in Clinical Drug Trials: A Risk Factor for Scientific Misconduct. Paper presented at Conference on Human Subject Protection and Financial Conflicts of Interest, National Institutes of Health, 15 August, Bethesda, Maryland. Available at http://www.ohrp.osophs.dhhs.gov/coi/.Google Scholar
Bowen, Ezra. 1985. Stormy Weather in Academe: Scholar's Controversial Work Sets off a Hail of Criticism. Time, 14 January, 59.Google Scholar
Bower, Ward. 1997. Multidisciplinary Practices–the Future. In Global Law in Practice, ed. Harper, J. Ross. The Hague: Kluwer Law International.Google Scholar
Bowie, Norman E. 1994. University-Business Partnerships: An Assessment. Lanham, Md.: Rowman & Littlefield.Google Scholar
Boyd, Elizabeth A., and Bero, Lisa A. 2000. Assessing Faculty Financial Relationships with Industry. Journal of the American Medical Association 284: 2209–14.Google Scholar
Briloff, Abraham J. 1994. Our Profession's “Jurassic Park. CPA Journal, August, 2631.Google Scholar
Britons Criticize US. Scientists for Halting Test of Cancer Drug. 1998. New York Times, 8 April, A14.Google Scholar
Brody, Baruch A. 1996. Conflicts of Interests and the Validity of Clinical Trials. In Spece et al. 1996, 407–17.Google Scholar
Bulkeley, William M. 2002. Corporate Focus: IBM Adds PwC Consulting with Few Bugs. Wall Street Journal, 2 October, B3.Google Scholar
Burk, Dan L. 1993. When Scientists Act Like Lawyers: The Problem of Adversary Science. Jurimetrics: Journal of Law, Science and Technology 33: 363–76.Google Scholar
Burke, W. Warner. 1997. Auditor Independence: An Organizational Psychology Perspective. Appendix C of American Institute of Certified Public Accountants 1997.Google Scholar
Business-Higher Education Forum. 2001. Working Together, Creating Knowledge: The University-Industry Research Collaboration Initiative. Washington, D. C.: Business-Higher Education Forum.Google Scholar
Campbell, Colin. 1984. A Quarrel over Weimar Book. New York Times, 23 December, 1.Google Scholar
Campbell, Don V. 2000. After the WALL. American Journalism Review, March, 52.Google Scholar
Cannon, Len. 1998. The Last Mile: One Man Sits on Death Row, Awaiting Execution for Gunning Down a Police Officer; a Look at the Wait, through the Eyes of the Condemned, His Mother, and the Family of the Man He Killed. Dateline NBC, 9 January.Google Scholar
Caplan, Arthur J. 1997. Prepared Testimony of Arthur J. Caplan before the House Government Reform and Oversight Committee, Human Resources Subcommittee, Regulation of Research Involving Human Subjects, 10 May. Washington, D. C.Google Scholar
Chase, Lisa. 2001. Phase I Stark II Regulations Provide Some Flexibility. Healthcare Financial Management 55 (October): 5259.Google Scholar
Cheney, Darwin, ed. 1993. Ethical Issues in Research. Frederick, Md.: University Publishing Group.Google Scholar
Cho, Mildred K., Ryo Shohare, Anna Schissel, and Rennie, Drummond. 2000. Policies on Faculty Conflicts of Interests at U. S. Universities. Journal of the American Medical Association 284: 2203–8.Google Scholar
Cimons, Marlene. 1989. Researchers Attack Conflict-of-Interest Rules. Los Angeles Times, 24 November, A4.Google Scholar
Cimons, Marlene, Getlin, Josh, and Maugh, Thomas H. II. 1998. Cancer Drugs Face Long Road from Mice to Men; Medicine: Doctors Downplay Excitement over Report, Questions Raised about How Media Handle Such Advances. Los Angeles Times, 6 May, A1.Google Scholar
Clark, Robert C. 1985. Agency Costs versus Fiduciary Duties. In Principals and Agents: The Structure of Business, ed. Pratt, John W., and Zeckhauser, Richard J., 5579. Boston: Harvard Business School Press.Google Scholar
Clifford, Paul D. 1997. Whose Copy Is It Anyway? Magazines: In a World More Competitive Than Ever for Advertisers' Dollars, Corporations Are Finding They Can Exert Some Influence on Editorial Product. Los Angeles Times, 5 June, E1.Google Scholar
Coffee, John C. Jr. 1995. Class Wars: The Dilemma of the Mass Tort Class Action. Columbia Law Review 95: 13431465.Google Scholar
Committee on Lawyer Business Ethics. 1998. Business and Ethics Implications of Altemative Billing Practices: Report on Alternative Billing Arrangements. Business Lawyer 54: 175207.Google Scholar
Cook, J. Michael, Freedman, Eugene M., Groves, Ray J., Madonna, Jon C., O'Malley, Shaun F., and Weinbach, Lawrence A. 1992. The Liability Crisis in the United States: Impact on the Accounting Profession. Journal of Accountancy, November, 1823.Google Scholar
Cooter, Robert, and Freedman, Bradley J. 1991. The Fiduciary Relationship: Its Economic Character and Legal Consequences. New York University Law Review 66: 1045–75.Google Scholar
Cottell, Philip G. Jr., and Perlin, Terry M. 1990. Accounting Ethics: A Practical Guide for Professionals. New York: Quorum Books.Google Scholar
Coyle, Joseph S. 1998. Now, the Editor as Marketer. Columbia Journalism Review, July- August, 37.Google Scholar
Crenshaw, Albert B., and Fromson, Brett D. 1998. Ties to Clients Put Pressure on Accountants: Independence More Difficult as Number of Firms Shrinks. Washington Post, 11 April, 1D.Google Scholar
Curran, Barbara A. 1977. The Legal Needs of the Public: The Final Report of a National Survey. Chicago: American Bar Foundation.Google Scholar
Curran, Barbara A., and Carson, Clara N. 1994. The Lawyer Statistical Report: The U. S. Legal Profession in the 1990s. Chicago: American Bar Foundation.Google Scholar
Daly, Mary C. 2000. Choosing Wise Men Wisely: The Risks and Rewards of Purchasing Legal Services from Lawyers in a Multidisciplinary Partnership. Georgetown Journal of Legal Ethics 13: 217–87.Google Scholar
Davidson, R. A. 1986. Source of Funding and Outcome of Clinical Trials. Journal of General Internal Medicine 3: 155–58.Google Scholar
Davis, Anthony E. 1996. Professional Liability Insurers as Regulators of Law Practice. Fordham Law Review 65: 209–32.Google Scholar
Dees, J. Gregory, and Elias, Jaan. 1998. The Challenges of Combining Social and Commercial Enterprise. Business Ethics Quarterly 8: 165–78.Google Scholar
Don't Call it Journalism. 1998. New York Times, 14 July, A18.Google Scholar
Drazen, Jeffrey M., and Curfman, Gregory D. 2002. Financial Associations of Authors. New England Journal of Medicine 346: 1901–2.Google Scholar
Drazen, Jeffrey M., and Koski, Greg. 2000. To Protect Those Who Serve. New England Journal of Medicine 343: 1643–44.Google Scholar
Dreier, Peter, and Weinberg, Steve. 1979. Interlocking Directorates. Columbia Journalism Review, November-December, 5168.Google Scholar
Dzienkowski, John S. 1992. Lawyers as Intermediaries: The Representation of Multiple Clients in the Modern Legal Profession. University of Illinois Law Review 1992: 741817.Google Scholar
Eble, Kenneth. 1994. Conflicts between Scholarship and Teaching. In Markie 1994, 209–25.Google Scholar
Edwards, Gary. 1997. Auditor Independence through Self-Regulation and Professional Ethics. Appendix D of American Institute of Certified Public Accountants 1997.Google Scholar
Emanuel, Ezekiel J., and Steiner, Daniel. 1995. Sounding Board: Institutional Conflict of Interest. New England Journal of Medicine 332: 262–68.Google Scholar
Finkin, Matthew W. 1998. Tenure and the Entrepreneurial Academy: A Reply. Academe 84: 1422.Google Scholar
Finn, Judith. 1990. Lung Cancer and Women: A Deadly Equality. East West, November, 68.Google Scholar
Finn, Paul D. 1977. Fiduciary Obligations. Sydney: Law Book Company.Google Scholar
Flanagin, Annette, Carey, Lisa A., Fontanarosa, Phil B., Phillips, Stephanie G., Pace, Brian P., Lundberg, George D., and Rennie, Drummond. 1998. Prevalence of Articles with Honorary Authors and Ghost Authors in Peer-Reviewed Medical Journals. Journal of the American Medical Association 280: 222–24.Google Scholar
Folkenflik, David. 1996. Bills Foster Researchers' Business Ties. Baltimore Sun, 26 February, 1B.Google Scholar
Foster, David, and Foster, Edith. 1998. It's a Buyer's Market: “Disposable Professors,” Grade Inflation, and Other Problems. Academe 84: 2835.Google Scholar
Fox, Lawrence J. 1997. Accountant Bosses Pose Ethical Threat. National Law Journal, 6 October, A23.Google Scholar
Fox, Lawrence J. 1999. Written Comments to the ABA Commission on Multidisciplinary Practice. Available at http://www.abanet.org/cpr/Fox2.html.Google Scholar
Francis, Leslie. 1996. IRBs and Conflicts of Interest. In Spece et al. 1996, 418–36.Google Scholar
Frankel, Mark S. 1996. Perception, Reality, and the Political Context of Conflict of Interest in University-Industry Relationships. Academic Medicine 71: 12971304.Google Scholar
Frankel, Max. 2000. The Wall, Vindicated. New York Times, 9 January, sec. 6, 24.Google Scholar
Frankel, Richard M., Johnson, Marilyn F., and Nelson, Karen D. 2001. Auditor Independence and Earnings Quality. Stanford University, Graduate School of Business research paper no. 1696.Google Scholar
Frankel, Tamar. 1983. Fiduciary Law. California Law Review 71: 795836.Google Scholar
Frankel, Tamar. 1995. Fiduciary Duties as Default Rules. Oregon Law Review 74: 12091277.Google Scholar
Freidson, Eliot. 1975. Doctoring Together: A Study of Professional Social Control. Chicago: University of Chicago Press.Google Scholar
Freidson, Eliot. 1986. Professional Powers: A Study of the Institutionalization of Formal Knowledge. Chicago: University of Chicago Press.Google Scholar
Galanter, Marc. 1974. Why the “Haves” Come out Ahead: Speculations on the Limits of Legal Change. Law & Society Review 9: 95160.Google Scholar
Galanter, Marc, and Palay, Thomas. 1991. Tournament of Lawyers: The Transformation of the Big Law Firm. Chicago: University of Chicago Press.Google Scholar
Gallagher, William T. 1995. Ideologies of Professionalism and the Politics of Self Regulation in the California State Bar. Pepperdine Law Review 22: 485628.Google Scholar
Garth, Bryant G. 1993. From Civil Litigation to Private Justice: Legal Practice at War with the Profession and Its Values. Brooklyn Law Review 59: 931–50.Google Scholar
Ghost with a Chance in Publishing Undergrowth. 1993. Lancet 342: 1498.Google Scholar
Gibeaut, John. 1998. Squeeze Play. ABA Journal, February, 4247.Google Scholar
Gibson, William T., and Pope, Kenneth S. 1993. The Ethics of Counseling: A National Survey of Certified Counselors. Journal of Counseling and Development 71: 330–36.Google Scholar
Gill, Donna. 1992. Targeting Lawyers: Legal Mal in the 90s. Chicago Lawyer, September, 1.Google Scholar
Gilson, Ronald J. 1990. The Devolution of the Legal Profession: A Demand Side Perspective. Maryland Law Review 49: 869916.Google Scholar
Glater, Jonathan D. 2002. Last Task at Andersen: Turning out the Lights. New York Times, 30 August, C3.Google Scholar
The Global 50. 1998. American Lawyer, November, 4547.Google Scholar
Goldberg, Carey. 2001. Medical Schools Offer Rules on Doctors' Conflict of Interest. New York Times, 8 February, A23.Google Scholar
Goldner, Jesse A. 2000. Dealing with Conflicts of Interest in Biomedical Research: IRB Oversight as the Next Best Solution to the Abolitionist Approach; Institutional Review Board. Journal of Law, Medicine & Ethics 28: 379.Google Scholar
Goldstein, Tom. 1985. The News at Any Cost: How Journalists Compromise Their Ethics to Shape the News. New York: Simon and Schuster.Google Scholar
Gordon, Robert W., and Simon, William H. 1992. The Redemption of Professionalism. In Lawyers' Ideals/Lawyers' Practices: Transformation in the American Legal Profession, ed. Nelson, Robert L., Trubek, David M., and Solomon, Rayman L., 230–57. Ithaca, N. Y.: Cornell University Press.Google Scholar
Greenberg, Stuart A., and Shuman, Daniel W. 1997. Itreconcilable Conflict between Therapeutic and Forensic Roles. Professional Psychology: Research and Practice 28: 5057.Google Scholar
Grob, George. 1998. Institutional Review Boards: A Time for Reform. Testimony before the Committee on Government Reform and Oversight, Subcommittee on Human Resources, U. S. House of Representatives, 11 June. Washington, D. C .Google Scholar
Gross, Alan E., and Fleming, India. 1982. Twenty Years of Deception in Social Psychology. Personality and Social Psychology Bulletin 8: 402–8.Google Scholar
Grossman, Lawrence K. 1995. The Electronic Republic: Reshaping Democracy in the Information Age. New York: Viking.Google Scholar
Groudine, Scott, and Lumb, Philip D. 1997. “First, do no harm. Journal of Medical Ethics 23: 377–78.Google Scholar
Hansen, Barbara C., and Hansen, Kenneth D. 1993. Managing Conflict of Interest in Faculty, Federal Government, and Industrial Relations. In Cheney 1993, 127–37.Google Scholar
Hazard, Geoffrey C. Jr. 1987. Triangular Lawyer Relationships: An Exploratory Analysis. Georgetown Journal of Legal Ethics 1: 1542.Google Scholar
Hazard, Geoffrey C. Jr. 1990. Conflicts Are often Key in Malpractice. National Law Journal, 10 September, 13.Google Scholar
Hazard, Geoffrey C. Jr. 1996. Conflict of Interest in the Classic Professions. In Spece et al. 1996, 85104.Google Scholar
Hazard, Geoffrey C. Jr., and Hodes, William W. 1990. The Law of Lawyering: A Handbook on the Model Rules of Professional Conduct. Englewood Cliffs, N. J.: Prentice Hall.Google Scholar
Hazard, Geoffrey C. Jr., Koniak, Susan P., and Cramton, Roger C. 1994. The Law and Ethics of Lawyering. Westbury, N. Y.: Foundation Press.Google Scholar
Heimer, Carol A. 1985. Reactive Risk and Rational Action: Managing Moral Hazard in Insurance Contracts. Berkeley and Los Angeles: University of California Press.Google Scholar
Heimer, Carol A. 2001. Solving the Problem of Trust. In Trust in Society, ed. Cook, Karen S., 4088. New York: Russell Sage Foundation.Google Scholar
Heinz, John P., and Laumann, Edward O. 1982. Chicago Lawyers: The Social Structure of the Bar. New York: Russell Sage Foundation.Google Scholar
Heinz, John P., and Schnorr, Paul S., with Laumann, Edward O. and Nelson, Robert L. 2001. Lawyers' Roles in Voluntary Associations: Declining Social Capital Law & Social Inquiry 26: 597629.Google Scholar
Hickey, Neil. 1998. Money Lust. Columbia Journalism Review, July–August, 28.Google Scholar
Hicks, L. Wayne. 1995. Industry Cozies up to Medical Research. Denver Business Journal, 28 April, A1.Google Scholar
Hilts, Philip J. 1998. Psychiatric Researchers under Fire. New York Times, 19 May, B11, B14.Google Scholar
Horton, Richard. 1997. Conflicts of Interest in Clinical Research: Opprobrium or Obsession Lancet 349: 1112–13.Google Scholar
Hulteng, John L. 1985. The Messenger's Motives: Ethical Problems of the New Media. Englewood Cliffs, N. J.: Prentice-Hall.Google Scholar
Huth, Edward J. 1996. Conflicts of Interest in Industry-Funded Clinical Research. In Spece et al. 1996, 389406.Google Scholar
Illinois CPA Society. 2001a. Business Owners Express Views on Multidisciplinary Practices between Accountants and Lawyers. Available at http://www.icpas.org/icpas/press/01-01-pr-1.asp.Google Scholar
Illinois CPA Society. 2001b. Illinois Business Executives' Opinions on Multidisciplinary Practices. Available at http://www.icpas.org/icpas/business/mdp.asp.Google Scholar
Illinois CPA Society. 2001c. Multidisciplinary Practice (MDP): Professional Issues Briefing Report as of March 2001. Available at http://www.icpas.org/icpas/ei/probrf32.asp.Google Scholar
The Illinois 100. 1992. Merrill's Illinois Legal Times, July.Google Scholar
Illinois State Bar Association. 1995. ISBA Advisory Opinion on Professional Conduct. Opinion no. 94–22: Referral Fees.Google Scholar
Illinois Supreme Court Rules. 1990. Article VIII: Illinois Rules of Professional Conduct. Available at www.state.il.us/court/SupremeCourt/Rules Google Scholar
Ingram, Richard T. 1993. Governing Public Colleges and Universities: A Handbook for Trustees, Chief Executives, and Other Campus Leaders. San Francisco: Jossey-Bass.Google Scholar
Jacobs, Paul. 1996. UC Relishes Power of the Patent. Los Angeles Times, 14 February, A1.Google Scholar
Jaggar, Sarah F. 1996. Scientific Research: Continued Vigilance Critical to Protecting Human Subjects. Testimony before the Committee on Governmental Affairs, U. S. Senate, 12 March.Google Scholar
Johnson, Terence J. 1972. Professions and Power. London: Macmillan.Google Scholar
Jurkowitz, Mark. 2000. Media; CEO's Legacy Won't Soon Be Forgotten. Boston Globe, 16 March, F1.Google Scholar
Kahan, Stuart. 1997. Running with the Winds of Change. Practical Accountant, December.Google Scholar
Kneier, Andrew. 1976. Serving Two Masters: A Common Cause Study of Conflicts of Interest in the Executive Branch. Washington, D. C.: Common Cause.Google Scholar
Kodish, Eric, Murray, Thomas, and Whitehouse, Peter. 1996. Conflict of Interest in University-Industry Research Relationships: Realities, Politics, and Values. Academic Medicine 71: 1287–90.Google Scholar
Kolata, Gina. 2001. Rules Adopted for Reporting Company-Paid Drug Studies. New York Times, 8 August, A11.Google Scholar
Koniak, Susan P. 1995. Feasting while the Widow Weeps: Georgine v. Amchem Products, Inc. Cornell Law Review 80: 10451157.Google Scholar
Kom, David. 1993. Conflict of Interest: A University Perspective. In Cheney 1993, 113–25.Google Scholar
Kom, James H. 1997. Illusions of Reality: A History of Deception in Social Psychology. Albany: State University of New York Press.Google Scholar
Kritzer, Herbert M. 1991. Abel and the Professional Project: The Institutional Analysis of the Legal Profession. Law & Social Inquiry 16: 529–52.Google Scholar
Kritzer, Herbert M. 1996. Rhetoric and Reality… Uses and Abuses… Contingencies and Certainties: The American Contingent Fee in Operation. Madison, Wis.: Institute for Legal Studies.Google Scholar
Kritzer, Herbert M. 1999. The Professions Are Dead, Long Live the Professions: Legal Practice in a Postprofessional World. Law & Society Review 33: 713–49.Google Scholar
Kritzer, Herbert M., Felstiner, William L. F., Sarat, Austin, and Trubek, David. 1984. The Impact of Fee Arrangement on Lawyer Effort. Madison: University of Wisconsin Law School, Disputes Processing Research Program.Google Scholar
Kurt, Thomas L. 1996. Regulation of Government Scientists' Conflicts of Interest. In Spece et al. 1996, 377–88.Google Scholar
Landon, Donald D. 1990. Country Lawyers: The Impact of Context on Professional Practice. New York: Praeger.Google Scholar
Larson, Magali Sarfatti. 1977. The Rise of Professionalism: A Sociological Analysis. Berkeley and Los Angeles: University of California Press.Google Scholar
Latham, Stephen R. 1996. Regulation of Managed Care Incentive Payments to Physicians. American Journal of Law & Medicine 22: 399432.Google Scholar
Lavelle, Louis. 1997. Who Will Audit the Auditors Record, 14 December, B1.Google Scholar
Lavelle, Marianne. 2001. Auditors Exposed! Cozy Deals Alleged U. S. News & World Reports, 23 July, 40.Google Scholar
Law & Economics Consulting Group, Inc. 1997. An Economic Analysis of Auditor Independence for a Multi-Client, Multi-Service Public Accounting Firm. Appendix B of American Institute of Certified Public Accountants 1997.Google Scholar
Ledbetter, James. 1996. Merge Overkill: When Big Media Gets Too Big, What Happens to Open Debate Village Voice, 16 January, 30.Google Scholar
Lehrman, Nathaniel S., and Sharav, Vera Hassner. 1997. Ethical Problems in Psychiatric Research. Journal of Mental Health Administration 24: 227–50.Google Scholar
Lieberman, Trudy. 1994. What Ever Happened to Consumer Reporting Columbia Journalism Review, September-October, 34.Google Scholar
Lo, Berhard. 1995. Resolving Ethical Dilemmas: A Guide for Clinicians. Baltimore: Williams & Wilkins.Google Scholar
Lo, Bernard, Wolf, Leslie E., and Berkeley, Abiona. 2000. Conflict-of-Interest Policies for Investigators in Clinical Trials. New England Journal of Medicine 343: 1616–19.Google Scholar
Loeffler, Robert M. 1974. Report of the Trustees of Equity Funding Corporation of America. U. S. District Court for the Central District of California.Google Scholar
Loftus, Elizabeth F. 1986. Experimental Psychologist as Advocate or Impartial Educator. Law and Human Behavior 10: 6377.Google Scholar
MacCoun, Robert J. 1998. Biases in the Interpretation and Use of Research Results. Annual Review of Psychology 49: 259–87.Google Scholar
Machen, M. Marge. 1998. Academic Research and Development Expenditures, Fiscal Year 1996. Arlington, Va.: National Science Foundation, Division of Science Resources Studies.Google Scholar
Mangan, Katherine S. 2000. Harvard Medical School Will Keep Its Conflict-of-Interest Policies. Chronicle of Higher Education, 9 June, A32.Google Scholar
Margolin, Gayla. 1982. Ethical and Legal Considerations in Marital and Family Therapy. American Psychologist 37: 788801.Google Scholar
Markie, Peter J., ed. 1994. A Professor's Duties: Ethical Issues in College Teaching. Lanham, Md.: Rowman & Littlefield.Google Scholar
Marsa, Linda. 1997. Prescription for Profits: How the Pharmaceutical Industry Bankrolled the Unholy Marriage between Science and Business. New York: Scribners.Google Scholar
Martin, Joseph B., and Kasper, Dennis L. 2000. In Whose Best Interest? Breaching the Academic-Industrial Wall. New England Journal of Medicine 343: 1646–49.Google Scholar
McCloskey, Michael, Egeth, Howard, and McKenna, Judith. 1986. The Experimental Psychologist in Court: The Ethics of Expert Testimony. Law and Human Behavior 10: 113.Google Scholar
McCrary, S. Van, Anderson, Cheryl B., Jakovljevic, Jelena, Khan, Tonya, McCollough, Laurence B., Wray, Nelda P., and Brody, Baruch A. 2000. A National Survey of Policies on Disclosure of Conflicts of Interest in Biomedical Research. New England Journal of Medicine 343: 1621–25.Google Scholar
McLucas, William R., and Eckert, Paul R. 2001. The Securities and Exchange Commission's Revised Auditor Independence Rules. Business Lawyer 56: 877.Google Scholar
McRoberts, Flynn, with Alexander, Delroy, Bums, Greg, Manor, Robert, and Torriero, E. A. 2002. A Final Accounting. Chicago Tribune, 14 September.Google Scholar
Melvin, Daniel H., and Polacheck, Joan F. 2001. The Final Stark II Rule: Implications for Hospital-Physician Arrangements. Healthcare Financial Management 55 (October): 6266.Google Scholar
Menkel-Meadow, Carrie. 1995. Ethics and the Settlement of Mass Torts: When the Rules Meet the Road. Cornell Law Review 80: 11591221.Google Scholar
Merton, Robert K. 1973. The Sociology of Science. Chicago: University Chicago Press.Google Scholar
Mifflin, Lawrie. 1998. An ABC News Reporter Tests the Boundaries of Investigating Disney and Finds Them. New York Times, 19 October, C8.Google Scholar
Milgram, Stanley. 1974. Obedience to Authority: An Experimental View. New York: Harper & Row.Google Scholar
Miller, Tracey L. 1998. Megamerger Deals Throw Profession in Play. Accounting Today, 28 February.Google Scholar
Morgan, Thomas D. 1997. Whose Lawyer Are You Anyway William Mitchell Law Review 23: 1141.Google Scholar
Morgenson, Gretchen. 2002. Market Watch: Watchdog? Lap Dog? Why Have to Guess New York Times, 17 February, sec. 3, 1.Google Scholar
Moore, Nancy J. 1997. Ethical Issues in Third-Party Payment: Beyond the Insurance Defense Paradigm. Review of Litigation 16: 586630.Google Scholar
Morris, John E. 1998a. King Arthur's March on Europe. American Lawyer, June, 48.Google Scholar
Morris, John E. 1998b. Too Good to Be True American Lawyer, July-August, 5.Google Scholar
Moses Hamilton, III, and Martin, Joseph B. 2001. Academic Relationships with Industry: A New Model for Biomedical Research. Jounal of the American Medical Association 285: 933–35.Google Scholar
Lawyers, Most. 2001. American Lawyer, November.Google Scholar
Revenue, Most. 2001. American Lawyer, November.Google Scholar
The National Data Book: Statistical Abstract of the United States. 1997. 117th ed. Washington, D. C., U. S. Bureau of the Census.Google Scholar
National Institutes of Health. 1995. Objectivity in Research. NIH Guide, 14 July.Google Scholar
National Science Board. 1998. Science and Engineering Indicators–1998. Arlington, Va.: National Science Board.Google Scholar
Neaves, William B., and Wildenthal, Kern. 1993. Conflict-of-Interest Issues Surrounding Faculty Participation in, and Ownership of, Technology and Drug Companies. In Cheney 1993, 139–45.Google Scholar
Neil, Martha. 2000. More Women Than Men May Start Classes in 2000. Chicago Daily Law Bulletin, 5 May, 3.Google Scholar
New York State Bar Association, Special Committee on the Law Governing Firm Structure and Operation. 2000. Preserving the Core Values of the American Legal Profession: The Place of Multidisciplinary Practice in the Law Governing Lawyers. Albany: New York State Bar Association.Google Scholar
Okie, Susan. 2001. A Stand for Scientific Independence; Medical Journals Aim to Curtail Drug Companies' Influence. Washington Post, 5 August, A1.Google Scholar
O'Malley, Robert E. 1991. Ethics Principles for the Insurer, the Insured, and Defense Counsel: The Eternal Triangle Reformed. Tulane Law Review 66: 511–25.Google Scholar
Oster, Patrick. 1998. The NLJ 250: Annual Survey of the Nation's Largest Law Firms. National Law Journal, 16 November, C5.Google Scholar
Otto, Randy K. 1989. Bias and Expert Testimony of Mental Health Professionals in Adversarial Proceedings: A Preliminary Investigation. Behavioral Sciences & the Law 7: 267–73.Google Scholar
Overton, George W. 1990. Supervisory Responsibility: A New Ball Game for Law Firms and Lawyers. Illinois Bar Journal, September, 434–36.Google Scholar
Pachella, Robert G. 1986. Personal Values and the Value of Expert Testimony. Law and Human Behavior 10: 145–50.Google Scholar
Patton, Paula A. 1996. Things Are Looking up-If You're Already In. National Law Journal, 19 August, C4.Google Scholar
Petersen, Melody. 1998a. Consulting by Auditors Stirs Concerns: Potential Conflicts Seen from Work on Software. New York Times, 13 July, C1.Google Scholar
Petersen, Melody. 1998b. Paris Lawyers Are Seeking Barricade against the Big 6. New York Times, 8 June, C2.Google Scholar
Pfannestiel, Todd. 1998. It's Not a Job, It's an Indenture: Graduate Students and the Academic Job Market. Academe 84: 4447.Google Scholar
Phillips, Jim. 1996. Are Research Universities Selling Out Austin American-Statesman, 14 January, A1.Google Scholar
Pizzimenti, Lee A. 1997. Screen Verité: Do Rules about Ethical Screens Reflect the Truth about Real-Life Law Firm Practice University of Miami Law Review 52: 305–64.Google Scholar
Pogrebin, Robin. 1998. Magazine Marketing Raises Question of Editorial Independence. New York Times, 4 May, C1.Google Scholar
Porter, Roger J. 1992. Conflict of Interest in Research: Personal Gain-the Seeds of Conflict. In Porter and Malone 1992, 135–50.Google Scholar
Porter, Roger J. 1993. Science, Scientific Motivation, and Conflict of Interest in Research. In Cheney 1993, 103–12.Google Scholar
Porter, Roger J., and Malone, Thomas E., eds. 1992. Biomedical Research: Collaboration and Conflict of Interest. Baltimore: Johns Hopkins University Press.Google Scholar
Prentice, Robert A. 2000. The SEC and MDP: Implications of the Self-Serving Bias for Independent Auditing. Ohio State Law Journal 61: 15971670.Google Scholar
Public Oversight Board, Advisory Panel on Auditor Independence [Kirk Panel]. 1994. Strengthening the Professionalism of the Independent Auditor. Stamford, Conn.: Public Oversight Board, Advisory Panel on Auditor Independence.Google Scholar
Public Oversight Board, Panel on Audit Effectiveness [O'Malley Panel]. 2000. Report and Recommendations. Available at Available at http://www.pobauditpanel.org.Google Scholar
Putka, Gary. 1991. Academic Barter: A Professor Swapped Degrees for Contracts, University Suspects. Wall Street Journal, 12 July, A1.Google Scholar
A Record Year, in Spite of Everything. 2001. American Lawyer, July.Google Scholar
Reed, Richard C., ed. 1989. Beyond the Billable Hour: An Anthology of Alternative Billing Methods. Chicago: American Bar Association, Section of Economics of Law Practice.Google Scholar
Reichard, Gary W. 1998. Part-Time Faculty in Research Universities: Problems and Prospects. Academe 84: 4043.Google Scholar
Relman, Arnold. 1980. The New Medical-Industrial Complex. New England Journal of Medicine 303: 963.Google Scholar
Rennie, Drummond, and Flanagin, Annette, 1994. Authorship! Authorship! Guests, Ghosts, Grafters, and the Two-Sided Coin. Journal of the American Medical Association 271: 469–71.Google Scholar
Rennie, Drummond, and Yank, Veronica, and Emanuel, Linda. 1997. When Authorship Fails: A Proposal to Make Contributors Accountable. Journal of the American Medical Association 278: 579–85.Google Scholar
Rhode, Deborah. 1981. Why the ABA Bothers: A Functional Perspective on Professional Codes. Texas Law Review 59: 689721.Google Scholar
Richmond, Douglas R. 1994. Walking a Tightrope: The Tripartite Relationship between Insurer, Insured, and Insurance Defense Counsel. Nebraska Law Review 73: 265–97.Google Scholar
Roback, Howard B., Elizabeth Ochoa, Frank Bloch, and Purdon, Scot E. 1992. Guarding Confidentiality in Clinical Groups: The Therapist's Dilemma. International Journal of Group Psychotherapy 42: 81103.Google Scholar
Robinson-Jacobs, Karen. 2002. Andersen Says Goodbye to Accounting. Los Angeles Times, 31 August.Google Scholar
Rockness, Joanne, and Ivancevich, Susan, and Keaveny, Thomas. 2001. Auditor Independence: A Bit More Rope. Financial Executive, 1 January, 18.Google Scholar
Rodwin, Marc A. 1993. Medicine, Money and Morals: Physician's Conflicts of Interest. New York: Oxford University Press.Google Scholar
Rodwin, Marc A. 1995. Strains in the Fiduciary Metaphor: Divided Physician Loyalties and Obligations in a Changing Health Care System. American Journal of Law and Medicine 21: 241–57.Google Scholar
Rodwin, Marc A. 1998. Conflicts of Interest and Accountability in Managed Care: The Aging of Medical Ethics. Journal of the American Geriatrics Society 46: 338–41.Google Scholar
Roey, Stephen, and Rak, Rebecca, Fernandez, Rosa, and Barbett, Sam. 1998. Fall Staff in Postsecondary Institutions, 1995. Washington, D. C. National Center for Education Statistics.Google Scholar
Romansic, Lara E. 1998. Conflict of Interest: Stand By Your Client? Opinion 95–390 and Conflicts of Interest in Corporate Families. Georgetown Journal of Legal Ethics 11: 307–18.Google Scholar
Rosenberg, Geanne. 2000. Move Over, Baker & McKenzie: Big 5 Have Arrived-in a Big Way National Law Journal, 29 May, B6.Google Scholar
Ross, William G. 1996. The Honest Hour: The Ethics of Time-Based Billing by Attorneys. Durham, N. C.: Carolina Academic Press.Google Scholar
Rotunda, Ronald D. 1997. Conflicts Problems When Representing Members of Corporate Families. Notre Dame Law Review 72: 665–92.Google Scholar
Roush, Wade, Marshall, Eliot, and Vogel, Gretchen. Publishing Sensitive Data: Who Calls the Shots; Publishing of Industry-University Results. 1997. Science, 25 April, 523–24.Google Scholar
Rubenstein, David. 1997. Big Six Poised to Enter Legal Market. Illinois Legal Times. October, 1.Google Scholar
Saltus, Richard. 1998. Corporate Gifts Raise Issue of Objectivity: Report Says Donor Demands on Scientists May Affect Outcome of Research. Boston Globe, 1 April, A6.Google Scholar
Saul, Ralph S. 1996. What Ails the Accounting Profession Accounting Horizons, June, 131–37.Google Scholar
Savin, Harris B. 1973. Professors and Psychological Researchers: Conflicting Values in Conflicting Roles. Cognition 2: 147–49.Google Scholar
Scallen, Eileen A. 1993. Promises Broken vs. Promises Betrayed: Metaphor, Analogy, and the New Fiduciary Principle. University of Illinois Law Review 1993: 897979.Google Scholar
Schneyer, Ted. 1991. Professional Discipline for Law Firms Cornell Law Review 77: 146.Google Scholar
Schnorr, Paul, Heinz, John P., Nelson, Robert L., and Laumann, Edward O. 1995. Changing Patterns of Inequality in the Chicago Bar: 19741994. Paper presented at the Annual Meeting of the Law & Society Association, Toronto, June 4.Google Scholar
Schotland, Roy A. 1980. Introduction. In Twentieth Century Fund 1980, 322.Google Scholar
Schuetze, Walter P. 1994. A Mountain or a Molehill Accounting Horizons, March, 6975.Google Scholar
Schuster, Jack H. 1998. Reconfiguring the Professorate: An Overview. Academe 84: 4853.Google Scholar
Scientific Journals Rarely Acknowledge Authors' Potential Conflicts, Study Finds. 1999. Chronicle of Higher Education, 5 February, A39.Google Scholar
Scott, Austin W. 1949. The Fiduciary Principle. California Law Review 37: 539–55.Google Scholar
Shamoo, Adil E. 1993. Role of Conflict of Interest in Public Advisory Councils. In Cheney 1993, 159–73.Google Scholar
Shapiro, Susan P. 1984. Wayward Capitalists: Target of the Securities and Exchange Commission. New Haven, Conn.: Yale University Press.Google Scholar
Shapiro, Susan P. 1987. The Social Control of Impersonal Trust. American Journal of Sociology 93: 623–58.Google Scholar
Shapiro, Susan P. 1989. Libel Lawyers as Risk Counselors: Pre-publication and Pre-broadcast Review and the Social Construction of News. Law & Policy 11: 281308.Google Scholar
Shapiro, Susan P. 2002. Tangled Loyalties: Conflict of Interest in Legal Practice. Ann Arbor: University of Michigan Press.Google Scholar
Shapiro, Susan P. 2003. If It Ain't Broke… an Empirical Perspective on Ethics 2000, Screening, and the Conflict-of-Interest Rules. University of Illinois Law Review 2003.Google Scholar
Shaw, David. 1998a. Breaching the Wall: A Revolution in American Newspapers. An Uneasy Alliance of News and Ads; Citing a Need for Healthier Finances, Newspapers Are Breaking Down the Separation of Business, Editorial Departments. Many Fear a Loss of Independence. Los Angeles Times, 29 March, A1.Google Scholar
Shaw, David. 1998b. Breaching the Wall: A Revolution in American Newspapers. Cooperation within Times Viewed with Trepidation; Publisher Says Interdepartmental Initiative Will Foster Journalistic Success, but Many in Newsroom Fear Intrusion. Los Angeles Times, 30 March, A21.Google Scholar
Shaw, David. 1998c. Breaching the Wall: A Revolution in American Newspapers. Magazines Feel Increased Pressure from Advertisers; Publishing as More Firms Threaten to Cancel Ads if They Dislike Story Content, Fear of Self-Censorship by Editors Grows. Los Angeles Times, 31 March, A21.Google Scholar
Shaw, David. 1999. A Business Deal Done-A Controversy Born: For the Record. Los Angeles Times, 20 December, special section, pt. V, p. 1.Google Scholar
Shepherd, J. C. 1981a. The Law of Fiduciaries. Toronto: Carswell.Google Scholar
Shepherd, J. C. 1981b. Towards a Unified Concept of Fiduciary Relationships. Law Quarterly Review 97: 5179.Google Scholar
Shimm, David S., and Spece, Roy G. Jr. 1991. Industry Reimbursement for Entering Patients into Clinical Trials: Legal and Ethical Issues. Annals of Internal Medicine 115: 148–51.Google Scholar
Shimm, David S., and Spece, Roy G. Jr. 1996a. An Introduction to Conflicts of Interest in Clinical Research. In Spece et al. 1996, 361–76.Google Scholar
Shimm, David S., and Spece, Roy G. Jr. 1996b. Discovering the Ethical Requirements of Physicians' Roles in the Service of Conflicting Interests as Healers and Citizens. In Spece et al. 1996, 4284.Google Scholar
Shipp, Allan C. 1992. How to Control Conflict of Interest. In Porter and Malone 1992, 163–82.Google Scholar
Slater, Courtenay M., and Hall, George E., eds. 1995. 1995 County and City Extra: Annual Metro, City and County Data Book. Lanham, Md.: Bernan Press.Google Scholar
Snyder, Thomas, and Wirt, John. 1998. The Condition of Education, 1998. Washington, D. C.: National Center for Education Statistics.Google Scholar
Society of Professional Journalists. 1996. Code of Ethics. Available at http://www.spj.org/ethics-code.asp.Google Scholar
Soley, Lawrence C. 1995. Leasing the Ivory Tower: The Corporate Takeover of Academia. Boston: South End Press.Google Scholar
Soley, Lawrence C., and Craig, Robert L. 1992. Advertising Pressures on Newspapers: A Survey. Journal of Advertising, December, 110.Google Scholar
Spece, Roy G. Jr., Shimm, David S., and Buchanan, Allen E. 1996. Conflicts of Interest in Clinical Practice and Research. New York: Oxford University Press.Google Scholar
Special Supplement: Annual Survey of National Accounting Firms. 2001. Public Accounting Report.Google Scholar
Speigler, Marc. 1997. Big Brains, No Gains. American Demographics 19: 4245.Google Scholar
Standard, & Poor's, . 2000. Emerging Stock Markets Factbook 2000. New York: McGraw Hill.Google Scholar
Standard, & Poor's, . 2001. Standard & Poor's to Acquire U. S. Corporate Value Consulting Business of Pricewaterhousecoopers. August 6. From http://www.standardandpoors.com/PressRoom/CompanyNews/Articles/080601-pwc.html.Google Scholar
Steinem, Gloria. 1990. Sex, Lies and Advertising. Ms., July-August, 1828.Google Scholar
Stelfox, Henry Thomas, Grace Chua, Keith O'Rourke, and Detsky, Allan S. 1998. Conflict of Interest in the Debate over Calcium-Channel Antagonists. New England Journal of Medicine 338(2): 101–6.Google Scholar
Stolberg, Sheryl Gay. 1998. New Rules Will Force Doctors to Disclose Ties to Drug Industry. New York Times, 3 February, A12.Google Scholar
Stone, Harlan Fiske. 1934. The Public Influence of the Bar. Harvard Law Review 48.Google Scholar
Strasburger, Larry H., Gutheil, Thomas G., and Brodsky, Archie. 1997. On Wearing Two Hats: Role Conflict in Serving as Both Psychotherapist and Expert Witness. American Journal of Psychiatry 154(4): 448–56.Google Scholar
Sutton, Michael H. 1997. Auditor Independence: The Challenge of Fact and Appearance. Accounting Horizons 11 (March): 8691.Google Scholar
Swanzey, Genie C. 1998. Class Action: Using Class Actions to Litigate Mass Torts: Is There Justice for the Individual Georgetown Journal of Legal Ethics 11: 421–34.Google Scholar
Taking on the World. 1998. American Lawyer, November, 97108.Google Scholar
Thompson, James H., Hodge, Thomas G., and Hoskins, Margaret A. 1997. Audit Services: Still Part of the Mix National Public Accountant, July, 12.Google Scholar
Tuite, Cornelia Honchar. 1992. Lawyers Called to the Stand May Witness Their Own Dismissal. Chicago Daily Law Bulletin, 7 February, 5.Google Scholar
Tuite, Cornelia Honchar. 1993. Occasionally, Newly Hired Lawyers Can “Rob” a Firm of Business. Chicago Daily Law Bulletin, 3 December, 6.Google Scholar
Turner, Lynn E. 2001. Independence: A Covenant for the Ages. Remarks by the Chief Accountant of the U. S. Securities and Exchange Commission at the International Organization of Securities Commissions, Stockholm, Sweden, June 28.Google Scholar
Twentieth Century Fund. 1980. Abuse on Wall Street: Conflicts of Interest in the Securities Markets. Westport, Conn.: Quorum.Google Scholar
U. S. Department of Health and Human Services. 2000. Secretary Shalala Bolsters Protections for Human Research Subjects. Available at http://www.hhs.gov/news/press/2000pres/20000523.htm.Google Scholar
U. S. Department of Health and Human Services, Office for Human Research Protections. 2000. Conference on Human Subject Protection and Financial Conflicts of Interest, Bethesda, Md., August 15–16. Transcript. Available at http://www.ohrp.osophs.dhhs.gov/coi/agenda.htm.Google Scholar
U. S. Department of Health and Human Services, 2001. Draft Interim Guidance: Financial Relationships in Clinical Research: Issues for Institutions, Clinical Investigators and IRBs to Consider When Dealing with Issues of Financial Interests and Human Subject Protection. (January 10). Available at http://www.ohrp.osophs.dhhs.gov/humansubjects/finreltn/finguid.htm.Google Scholar
U. S. Department of Health and Human Services, Office of Inspector General. 1998a. Institutional Review Boards: The Emergence of Independent Boards. (June). OEI–01–97–00192. Available at http://www.oig.hhs.gov/oei/reports/oei-01-97-00192.pdf.Google Scholar
U. S. Department of Health and Human Services, Office of Inspector General. 1998b. Institutional Review Boards: A Time for Reform. (June). OEI–01–97–00193. Available at http://www.oig.hhs.gov/oei/reports/oei-01-97-00193.pdf.Google Scholar
U. S. General Accounting Office. 1996a. The Accounting Profession: Major Issues: Progress and Concerns. Report to the Ranking Minority Member, Committee on Commerce, House of Representatives. GAO/AMID-96–98.Google Scholar
U. S. General Accounting Office. 1996b. Scientific Research: Continued Vigilance Critical to Protecting Human Subjects. Report to the Ranking Minority Member, Committee on Governmental Affairs, U. S. Senate. GAO/HEHS-96–72.Google Scholar
U. S. Securities and Exchange Commission 1997. Annual Report. Washington D. C.: Government Printing Office.Google Scholar
U. S. Securities and Exchange Commission. 2000a. Fact Sheet: The Modernization of the Rules Governing the Independence of the Accounting Profession. (November 15). Available at Available at http://www.sec.gov/news/extra/Faqaud.htm.Google Scholar
U. S. Securities and Exchange Commission. 2000b. Final Rule: Revision of the Commission's Auditor Independence Requirements. 17 CFR pts. 210 and 240 (release nos. 33–7919; 34–43602; 35–27279; IC–24744; IA–1911; FR-56; file no. S7–13–00). (November 21).Google Scholar
U. S. Securities and Exchange Commission. 2000c. Independent Consultant Finds Widespread Independence Violations at PricewaterhouseCoopers. Press release, January 6.Google Scholar
U. S. Securities and Exchange Commission. 2000d. Proposed Rule: Revision of the Commission's Auditor Independence Requirements. 17 CFR pts. 210 and 240 (release nos. 33–7870; 34–42994; 35–27193; IC-24549; IA-1884; file no. S7–13–00). (July 17).Google Scholar
U. S. Securities and Exchange Commission, Office of the Chief Accountant. 2001. April 2001 Letter to the Public Oversight Board on Quality Controls over Auditor Independence.Google Scholar
Useem, Michael. 1979. The Social Organization of the American Business Elite and Participation of Corporation Directors in the Governance of American Institutions. American Sociological Review 44: 553–72.Google Scholar
van Brunt, Roy, and Walker, Dorothy E. 1998. The AICPA National Conference on SEC Developments. Insights, February, 21.Google Scholar
Vincent, Bruce. 1996. Dr. Death's Demise? Prosecutors Shun Death Penalty Expert. Legal Times, 1 January, 4.Google Scholar
Walker, Richard H. 1998. Auditor Independence–the Issues. Symposium on the CPA and Independence, sponsored by the New York State of Society of CPAs and the CPA Journal, New York, December 17.Google Scholar
Warner, Kenneth E., Goldenhar, Linda M., and McLaughlin, Catherine. 1992. Cigarette Advertising and Magazine Coverage of the Hazards of Smoking. New England Journal of Medicine 326: 30.Google Scholar
Wehrwein, Peter. 1998. Strong Medicine. American Journalism Review, April, 3641.Google Scholar
Weidlich, Thom. 1993. Law Firm Mergers Dwindle. National Law Journal, 19 April, 1.Google Scholar
Weiner, Jon. 1985. Footnotes to History: The Persecution of David Abraham. Nation, 16 February, 180.Google Scholar
Weinrib, Ernest J. 1975. The Fiduciary Obligation. University of Toronto Law Journal 25: 122.Google Scholar
Welch, Stephen J. 1997. Conflict of Interest and Financial Disclosure: Judge the Science, Not the Author. Chest 112: 865.Google Scholar
Welfel, Elizabeth Reynolds. 1998. Ethics in Counseling and Psychotherapy: Standards, Research, and Emerging Issues. Pacific Grove, Calif.: Brooks/Cole Publishing Company.Google Scholar
Whitfield, Robert. 1996. Few Benefits from Present Law Firm M&A Process. Illinois Legal Times, July, 8.Google Scholar
Who Audits America. 2000. Menlo Park, Calif.: Data Financial Press.Google Scholar
Williams, Michelle. 1995. Five Guilty in Degrees-for-Contracts Scheme. Chattanooga Times, 29 April, B3.Google Scholar
Wolfram, Charles W. 1986 Modern Legal Ethics. St. Paul, Minn.: West Publishing Company.Google Scholar
Wunnicke, Brooke. 1989. The Eternal Triangle: Standards of Ethical Representation by the Insurance Defense Lawyer. For the Defense 31(2): 716.Google Scholar
Zimbardo, Philip G. 1973. On the Ethics of Intervention in Human Psychological Research: With Special Reference to the Stanford Prison Experiment. Cognition 2: 243–56.Google Scholar
Zuckoff, Mitchell. 1998. Tax Dollars Fuel University Spinoffs. Boston Globe, 7 April, A1.Google Scholar