For further information about Dr. Susan Mangiero’s publications or for information about how she can assist your firm with branded thought leadership, email contact@fiduciaryleadership.com.
2017:
- “Investment Fraud and the Role of Trust,” The Fraud Examiner, April 19, 2017
2015:
- “Economic Analysis in Fiduciary Monitoring Disputes Following the Supreme Court’s ‘Tibble’ Ruling,” Pension & Benefits, June 24, 2015
- “An Economist’s Perspective of Fiduciary Monitoring of Investments,” Pension & Benefits, May 26, 2015
2014:
- “Avoiding FCPA Liability by Tightening Internal Controls: Considerations for Institutional Investors and Corporate Counsel,” with H. David Kotz, Corporate Counsel, August 14, 2014
- “Muni Bond, Pension Liabilities and Investment Due Diligence,” with Brad Orelowitz and Israel Shaked, American Bankruptcy Institute (“ABI”) Journal, July 2014
- “Private Equity Funds and Pension Plans: A Changing Dynamic,” with David Levine, CFA Institute Magazine, March/April 2014
2013:
- “GPs Eye New Ruling,” with David Levine, Mergers & Acquisitions, December 2013
- “Pension Plans: The $20 Trillion Elephant in the (Valuation) Room” by Susan Mangiero, Business Valuation Update, Business Valuation Resources, Vol. 19, No. 7, July 2013, pages 1-6
2012:
- “ERISA Plans and Service Provider Due Diligence: Going Beyond the Background Check” by Susan Mangiero, Pension & Benefits Daily, July 10, 2012
- “Pension risk, governance and CFO liability” by Susan Mangiero, Journal of Corporate Treasury Management, Henry Stewart Publications, January 2012, Vol. 4, 4, pages 311-323
2011:
- “Financial Model Mistakes Can Cost Millions” by Susan Mangiero, Expert Witnesses, American Bar Association, Section of Litigation Expert Witnesses Committee, Spring/Summer 2011, Vol. 7, Number 1