Journal Index by Volume, beginning Winter 2007
 

Volume 1, Number 1

 Bruner, Phillip L. (2007) Construction Law and the American College of Construction Lawyers – A History, 1(1), 1-22.

 Lloyd, Humphrey John (2007) Ethics for the Construction Industry:  Relatively Clean Fingernails, 1(1), 23-44.

 Sapers, Carl M. (2007) On Teaching Ethics in Schools of Architecture, 1(1), 45-56.

 O’Connor, James Duffy (2007) Wrestling with Reform:  Indemnification Agreements, the Statutory Bars, Promises to Procure, and Insurance Products for the Construction Industry, 1(1), 57-134.

 O’Connor, Patrick J., Jr. (2007) Productivity and Innovation in the Construction Industry:  The Case for Building Information Modeling, 1(1), 135-183.

 Hoffar, Julian F. and Ewald, Shelly L. (2007) Liquidated Damages and the Freedom to Contract, 1(1), 185-201.

 Fletcher, Jennifer W. and Stipanowich, Laura J. (2007) Successful Forensic Schedule Analysis, 1(1), 203-239.

 Volume 1, Number 2

 O’Brien, Kevin (2007) Nuclear Power:  Dawn of a New Life?, 1(2), 1-34.

 McMillan, Daniel D. (2007) Hyperinflation in the Construction Industry:  Collision Course between European “Hardship” Principles and the American Doctrine of Impracticality, 1(2), 35-102.

 Whitney, Christopher C. (2007) Rediscovering Discovery in Construction Litigation, 1(2), 103-166.

 O’Connor, Patrick J., Jr. (2007) The Curiouser and Curiouser State of American Arbitration Law:  Running Twice as Fast Only to Fall Behind, 1(2), 167-232.

 Lurie, Paul M. (2007) The Revised Uniform Arbitration Act:  Choice of Law Issues Litigation, 1(2), 233-242.

 Zetlin, Michael S. and Fladgate, Christopher J. (2007) The Collateral Use of Violations of Licensing Regulations and Codes of Ethics by Construction Professionals, 1(2), 243-268. 

 Volume 2, Number 1

 Leavitt, Josh M. and Rosenberg, Daniel G. (2008) Toward a Unified Theory of Damages in Construction Cases:  Part I – Navigating Through the Diminution of Value vs. Cost of Repair Debate in Defect Cases and allocating Burdens of Proof, 2(1), 1-51.

 Andrus, Beth M, Gessford, James L. and Joyce, William R. (2008) The Economic Loss Doctrine in Construction Cases:  Are the Odds for Design Professionals Better in Vegas, 2(1), 53-88.

 Hess, Stephen A. (2008) The Availability and Proof of Damages for Lost Bonding Capacity, 2(1), 89-122.

 Hamersmith, Harold E. and Lozowicki, Edward B. (2008) Can the Spearin Doctrine Survive in a Design-Build World:  Who Bears Responsibility for Hybrid Specifications?, 2(1), 123-143.

 Zicherman, Michael S. (2008) Constitutional Due Process and Mechanic’s Liens:  Do Public Mechanic’s Lien Laws Stat Up to the Challenge?, 2(1), 145-187.

 Nagle, James F. and Kelley, Bryan A. (2008) Exploring the Federal Forums for Government Contracts,  2(1),189-208.

 Volume 2, Number 2

 Leavitt, Josh M. and Rosenberg, Daniel G. (2008) Toward a Unified Theory of Damages in Construction Cases:  Part II – The Search for Unifying Theories in Common Law and Statutory Approaches to Treatment of Prejudgment and Postjudgment Interest Awards on Prevailing Construction Damage Claims, 2(2), 1-62.

 Rosengren, David E. and Cohane, Jared (2008) The Impossibility Doctrine – Still Hazy After All These Years: Part I, 2(2), 63-83. 

 O’Connor, Patrick J., Jr. (2008) Understanding General Liability Coverage:  A Primer for Construction Lawyers, 2(2), 85-148.

 Crowe, Donna M. (2008) For Green Building Issues, Call on Your Inner Green Lawyer, 2(2), 149-164.

 Bruner, Philip L. (2008) Book Review:  International Construction Arbitration Handbook by Hinchey, John W. and Harris, Troy L., 2(2), 165-166.

 Volume 3, Number 1

 Thomson, Dean B. and Thomson, William D. (2009) A Modest Proposal:  Conflicting Judicial Decisions Should Mandate Insurance Coverage for the Insured under the Ambiguity Doctrine, 3(1), 1-17.

 Overcash, Allen L. (2009) Will the New Contract Forms for Integrated Project Delivery make Conflict Obsolete?  (Or are We Still Lost in Our Contract Obsession?), 3(1), 19-45.

 O’Connor, Patrick J., Jr. (2009) Business Interruption Coverages for Failures, 3(1), 47-74.

 Kirsh, Harvey J. (2009) Dispute Review Boards and Adjudication:  Two Cutting-Edge ADR Processes in International Construction, 3(1), 75-90. 

 Tricker, Edward H., George, Kory D., and Gerdes, Erin L. (2009) Survey of Prompt Pay Statutes, 3(1), 91-342.

 Volume 3, Number 2

 Sapers, Carl M. (2009) Professionalism Redux, 3(2), 1-13.

 Rosengren, David E. and Cohane, Jared (2009) The Impossibility Doctrine - Still Hazy After All These Years: Part II, 3(2), 14-37.

 Moseley, W. Alexander (2009) How Can the Construction Industry Better Manage Consequential Damages for Delay?  And Will the Courts Cooperate?, 3(2), 38-68.

 O’Connor, Patrick J., Jr. and Bomba, Michael B. (2009) Integrated Project Delivery Part I:  Collaboration Through New Contract Forms, 3(2), 69-128.

 Volume 4, Number 1

 West, Joseph D. and Hissam (2010)  The Reasonableness of Liquidated Damages Provisions – Why Only the Look Back Approach Can Prevent Windfalls, 4(1), 1-21.

 Heley, Mark J. (2010) Professional or Note:  Should Courts Preclude Contract Limitations of Liability Solely Because of the Architect’s or Engineer’s Status as a Licensed Professional?, 4(1), 23-52.

 O’Connor, Patrick J., Jr., and McNaughton, Kim (2010) Bankruptcy and the Completing Surety, 4(1), 53-82.

 Jones, Doug (2010)  Relationship Contracting in Australia:  Partnering, Alliancing and Other Arrangements, 4(1), 83-108.

 Hess, Stephen A. (2010) Who Should Own the Float?, 4(1), 109-142.

 Volume 4, Number 2

 Griffin, Deborah, Martin, Hon. Robert, and Schexnayder, Chad (2010) The Intersection of Bankruptcy and Construction:  Treatment of Executory Construction Contracts and Mechanics Liens in Bankruptcy, 4(2), 1-36.

 O’Connor, Patrick J., Jr. (2010) International Nuclear Liability: From the Perspective of the U.S. Engineering and Construction Industry, 4(2), 37-157.

 Colby, Kevin, Kohner, Joshua J., and Montalbano, Douglas J. (2010) 2009 Insurance Law Survey, 4(2), 159-210.

 Pearse, Richard W. (2010) Managing “Split-EPC Contracts” for International Construction Projects, 4(2), 211-241.

 Volume 5, Number 1

 O’Connor, James D. (2011) What Every Court Should Know About Insurance Coverage for Defective Construction, 5(1), 1-70.

 Mockbee, David W. (2011) Architect/Engineer Expert Witnesses:  Professionals or Prostitutes, 5(1), 71-126.

 Seals, Robert and Friedlander, Marck C. (2011) Examining Studies Used to Support Expert Opinions:  Does the Study Make the Grade?  An Illustrative Test for Suitability, 5(1), 127-135.

 O’Connor, Patrick J., Jr. (2011) Legal Considerations in Sustainable Design and Construction, 5(1), 137-191.

 Hurtado, Kimberly A. (2011) Emerging Standards of Care for Sustainable Design & Construction, 5(1), 193-219.

 Volume 5, Number 2

 Heisse, John R. (2011) The Measure of Malpractice – A Rebuttal to The “Threshold Approach” to Evaluating Errors in Design, 5(2), 1-25.

 Trauner, Theodore J., Jr., PE, Manginelli, William A., and Furniss, Brian. (2011) Why Owners and Contractors Should Share the Float, 5(2), 27-46.

 Vento, John S. (2011) the Admissibility of DRB Findings and Recommendations:  Issues and Implications, 5(2), 47-67.

 Fletcher, Jennifer W., Davis, Lee C., Herlach, Mark D., Shah, Amish M. and Traylor, Greg W. (2012) Constructing Power:  The Near Term Outlook for Construction of Power Generation Projects in the 21st Century, 5(2), 69-111.

 Volume 6, Number 1

 Thomson, Dean B. (2012) Can Vague Regulations Be “Narrowly Tailored”?  An Analysis of the U.S. Department of Transportation’s DBE Regulations, 6(1), 1-19.

 Cameron, John G., Jr. (2012) Construction Warranties:  How Long Do They Last? 6(1), 21-71.

 Ingwalson, Carl F., Jr., Mow, Adam T., and Kurnik, Elysian. (2012) Arbitration and Nonsignatories:  Bound or Not Bound?  6(1), 73-110.

 Overcash, Allen L. (2012) What is Wrong with Construction Arbitration – We Do Not Know the Issues!, 6(1), 111-126.

 Friedlander, Mark C. (2012) Arbitrator-Directed Arbitration:  ADR with A Samurai Arbitrator, 6(1), 127-134.

 

Journal Index by Author, beginning Winter 2007

Andrus, Beth M, Gessford, James L. and Joyce, William R. (2008) The Economic Loss Doctrine in Construction Cases:  Are the Odds for Design Professionals Better in Vegas, 2(1), 53-88.

Bruner, Phillip L. (2007) Construction Law and the American College of Construction Lawyers – A History, 1(1), 1-22.

Bruner, Philip L. (2008) Book Review:  International Construction Arbitration Handbook by Hinchey, John W. and Harris, Troy L., 2(2), 165-166.

Cameron, John G., Jr. (2012) Construction Warranties:  How Long Do They Last? 6(1), 21-71.

Colby, Kevin, Kohner, Joshua J., and Montalbano, Douglas J. (2010) International Nuclear Liability: From the Perspective of the U.S. Engineering and Construction Industry, 4(2), 37-157.

Fletcher, Jennifer W., Davis, Lee C., Herlach, Mark D., Shah, Amish M. and Traylor, Greg W. (2011) Constructing Power:  The Near Term Outlook for Construction of Power Generation Projects in the 21st Century, 5(2), 69-111.

Friedlander, Mark C. (2012) Arbitrator-Directed Arbitration:  ADR with A Samurai Arbitrator, 6(1), 127-134.

Griffin, Deborah, Martin, Hon. Robert, and Schexnayder, Chad (2010) The Intersection of Bankruptcy and Construction:  Treatment of Executory Construction Contracts and Mechanics Liens in Bankruptcy, 4(2), 1-36.

Hamersmith, Harold E. and Lozowicki, Edward B. (2008) Can the Spearin Doctrine Survive in a Design-Build World:  Who Bears Responsibility for Hybrid Specifications?, 2(1), 123-143.

Heisse, John R. (2011) The Measure of Malpractice – A Rebuttal to The “Threshold Approach” to Evaluating Errors in Design, 5(2), 1-25.

Heley, Mark J. (2010) Professional or Note:  Should Courts Preclude Contract Limitations of Liability Solely Because of the Architect’s or Engineer’s Status as a Licensed Professional?, 4(1), 23-52.

Hess, Stephen A. (2008) The Availability and Proof of Damages for Lost Bonding Capacity, 2(1), 89-122.

Hess, Stephen A. (2010) Who Should Own the Float?, 4(1), 109-142.

Hurtado, Kimberly A. (2011) Emerging Standards of Care for Sustainable Design & Construction, 5(1), 193-219.

Ingwalson, Carl F., Jr., Mow, Adam T., and Kurnik, Elysian (2012) Arbitration and Nonsignatories:  Bound or Not Bound?  6(1), 73-110.

Jones, Doug (2010)  Relationship Contracting in Australia:  Partnering, Alliancing and Other Arrangements, 4(1), 83-108.

Hoffar, Julian F. and Ewald, Shelly L. (2007) Liquidated Damages and the Freedom to Contract, 1(1), 185-201.

Kirsh, Harvey J. (2009) Dispute Review Boards and Adjudication:  Two Cutting-Edge ADR Processes in International Construction, 3(1), 75-90. 

Leavitt, Josh M. and Rosenberg, Daniel G. (2008) Toward a Unified Theory of Damages in Construction Cases:  Part I – Navigating Through the Diminution of Value vs. Cost of Repair Debate in Defect Cases and allocating Burdens of Proof, 2(1), 1-51.

Leavitt, Josh M. and Rosenberg, Daniel G. (2008) Toward a Unified Theory of Damages in Construction Cases:  Part II – The Search for Unifying Theories in Common Law and Statutory Approaches to Treatment of Prejudgment and Postjudgment Interest Awards on Prevailing Construction Damage Claims, 2(2), 1-62.

Lloyd, Humphrey John (2007) Ethics for the Construction Industry:  Relatively Clean Fingernails, 1(1), 23-44.

Lurie, Paul M. (2007) The Revised Uniform Arbitration Act:  Choice of Law Issues Litigation, 1(2), 233-242.

McMillan, Daniel D. (2007) Hyperinflation in the Construction Industry:  Collision Course between European “Hardship” Principles and the American Doctrine of Impracticality, 1(2), 35-102.

Mockbee, David W. (2011) Architect/Engineer Expert Witnesses:  Professionals or Prostitutes, 5(1), 71-126.

Mosely, W. Alexander (2009) How Can the Construction Industry Better Manage Consequential Damages for Delay?  And Will the Courts Cooperate?, 3(2), 38-68.

Nagle, James F. and Kelley, Bryan A. (2008) Exploring the Federal Forums for Government Contracts,  2(1),189-208.

O’Brien, Kevin (2007) Nuclear Power:  Dawn of a New Life?, 1(2), 1-34.

O’Connor, James Duffy (2007) Wrestling with Reform:  Indemnification Agreements, the Statutory Bars, Promises to Procure, and Insurance Products for the Construction Industry, 1(1), 57-134.

O’Connor, James D. (2011) What Every Court Should Know About Insurance Coverage for Defective Construction, 5(1), 1-70.

O’Connor, Patrick J., Jr. (2007) Productivity and Innovation in the Construction Industry:  The Case for Building Information Modeling, 1(1), 135-183.

O’Connor, Patrick J., Jr. (2007) The Curiouser and Curiouser State of American Arbitration Law:  Running Twice as Fast Only to Fall Behind, 1(2), 167-232.

O’Connor, Patrick J., Jr. (2008) Understanding General Liability Coverage:  A Primer for Construction Lawyers, 2(2), 85-148.

O’Connor, Patrick J., Jr. (2009) Business Interruption Coverages for Failures, 3(1), 47-74.

O’Connor, Patrick J., Jr. (2011) Legal Considerations in Sustainable Design and Construction, 5(1), 137-191.

O’Connor, Patrick J., Jr. and Bomba, Michael B. (2009) Integrated Project Delivery Part I:  Collaboration Through New Contract Forms, 3(2), 69-128.

O’Connor, Patrick J., Jr., and McNaughton, Kim (2010) Bankruptcy and the Completing Surety, 4(1), 53-82.

O’Connor, Patrick J., Jr. (2010) International Nuclear Liability: From the Perspective of the U.S. Engineering and Construction Industry, 4(2), 37-157.

O’Connor, Patrick J., Jr. (2011) Legal Considerations in Sustainable Design and Construction, 5(1), 137-191.

Overcash, Allen L. (2009) Will the New Contract Forms for Integrated Project Delivery make Conflict Obsolete?  (Or are We Still Lost in Our Contract Obsession?), 3(1), 19-45.

Overcash, Allen L. (2012) What is Wrong with Construction Arbitration – We Do Not Know the Issues!, 6(1), 111-126.

Pearse, Richard W. (2010) Managing “Split-EPC Contracts” for International Construction Projects, 4(2), 211-241.

Rosengren, David E. and Cohane, Jared (2008) The Impossibility Doctrine – Still Hazy After All These Years: Part I, 2(2), 63-83. 

Rosengren, David E. and Cohane, Jared (2009) The Impossibility Doctrine – Still Hazy After All These Years: Part II, 3(2), 14-37. 

Sapers, Carl M. (2007) On Teaching Ethics in Schools of Architecture, 1(1), 45-56.

Sapers, Carl M. (2009) Professionalism Redux, 3(2), 1-13.

Seals, Robert and Friedlander, Marck C. (2011) Examining Studies Used to Support Expert Opinions:  Does the Study Make the Grade?  An Illustrative Test for Suitability, 5(1), 127-135.

Thomson, Dean B. and Thomson, William D. (2009) A Modest Proposal:  Conflicting Judicial Decisions Should Mandate Insurance Coverage for the Insured under the Ambiguity Doctrine, 3(1), 1-17.

Thomson, Dean B. (2012) Can Vague Regulations Be “Narrowly Tailored”?  An Analysis of the U.S. Department of Transportation’s DBE Regulations, 6(1), 1-19.

Trauner, Theodore J., Jr., PE, Manginelli, William A., and Furniss, Brian. (2011) Why Owners and Contractors Should Share the Float, 5(2), 27-46.

Tricker, Edward H., George, Kory D., and Gerdes, Erin L. (2009) Survey of Prompt Pay Statutes, 3(1), 91-342.

Vento, John S. (2011) the Admissibility of DRB Findings and Recommendations:  Issues and Implications, 5(2), 47-67.

West, Joseph D. and Hissam (2010)  The Reasonableness of Liquidated Damages Provisions – Why Only the Look Back Approach Can Prevent Windfalls, 4(1), 1-21.

Whitney, Christopher C. (2007) Rediscovering Discovery in Construction Litigation, 1(2), 103-166.

Zetlin, Michael S. and Fladgate, Christopher J. (2007) The Collateral Use of Violations of Licensing Regulations and Codes of Ethics by Construction Professionals, 1(2), 243-268. 

Zicherman, Michael S. (2008) Constitutional Due Process and Mechanic’s Liens:  Do Public Mechanic’s Lien Laws Stat Up to the Challenge?, 2(1), 145-187.

Journal Index by Subject Matter, beginning Winter 2007

 

1.            Alternative Dispute Resolution (Arbitration, Mediation, Partnering, DRBs, etc.)

Lurie, Paul M. (2007) The Revised Uniform Arbitration Act:  Choice of Law Issues Litigation, 1(2), 233-242.

O’Connor, Patrick J., Jr. (2007) The Curiouser and Curiouser State of American Arbitration Law:  Running Twice as Fast Only to Fall Behind, 1(2), 167-232.

Ingwalson, Carl F., Jr., Mow, Adam T., and Kurnik, Elysian (2012) Arbitration and Nonsignatories:  Bound or Not Bound?  6(1), 73-110.

Overcash, Allen L. (2012) What is Wrong with Construction Arbitration – We Do Not Know the Issues!, 6(1), 111-126.

Friedlander, Mark C. (2012) Arbitrator-Directed Arbitration:  ADR with A Samurai Arbitrator, 6(1), 127-134.

2.            Bid and Award

3.            Book Reviews

Bruner, Philip L. (2008) Book Review:  International Construction Arbitration Handbook by Hinchey, John W. and Harris, Troy L., 2(2), 165-166.

4.            Changes

5.            Claims (Preparation, Submission, Certification, False Claims Act, etc.)

6.            Contract Forms and Contract Drafting

O’Connor, Patrick J., Jr. and Bomba, Michael B. (2009) Integrated Project Delivery Part I:  Collaboration Through New Contract Forms, 3(2), 69-128.

Overcash, Allen L. (2009) Will the New Contract Forms for Integrated Project Delivery make Conflict Obsolete?  (Or are We Still Lost in Our Contract Obsession?), 3(1), 19-45.

Jones, Doug (2010)  Relationship Contracting in Australia:  Partnering, Alliancing and Other Arrangements, 4(1), 83-108.

7.            Contract Interpretation

8.            Courts and Boards

Kirsh, Harvey J. (2009) Dispute Review Boards and Adjudication:  Two Cutting-Edge ADR Processes in International Construction, 3(1), 75-90. 

Nagle, James F. and Kelley, Bryan A. (2008) Exploring the Federal Forums for Government Contracts,  2(1),189-208.

Vento, John S. (2011) the Admissibility of DRB Findings and Recommendations:  Issues and Implications, 5(2), 47-67.

9.            Damages

Hess, Stephen A. (2008) The Availability and Proof of Damages for Lost Bonding Capacity, 2(1), 89-122.

Hoffar, Julian F. and Ewald, Shelly L. (2007) Liquidated Damages and the Freedom to Contract, 1(1), 185-201.

Leavitt, Josh M. and Rosenberg, Daniel G. (2008) Toward a Unified Theory of Damages in Construction Cases:  Part I – Navigating Through the Diminution of Value vs. Cost of Repair Debate in Defect Cases and allocating Burdens of Proof, 2(1), 1-51.

Leavitt, Josh M. and Rosenberg, Daniel G. (2008) Toward a Unified Theory of Damages in Construction Cases:  Part II – The Search for Unifying Theories in Common Law and Statutory Approaches to Treatment of Prejudgment and Postjudgment Interest Awards on Prevailing Construction Damage Claims, 2(2), 1-62.

McMillan, Daniel D. (2007) Hyperinflation in the Construction Industry:  Collision Course between European “Hardship” Principles and the American Doctrine of Impracticality, 1(2), 35-102.

Moseley, W. Alexander (2009) How Can the Construction Industry Better Manage Consequential Damages for Delay?  And Will the Courts Cooperate?, 3(2), 38-68.

Rosengren, David E. and Cohane, Jared (2008) The Impossibility Doctrine – Still Hazy After All These Years: Part I, 2(2), 63-83. 

Rosengren, David E. and Cohane, Jared (2009) The Impossibility Doctrine - Still Hazy After All These Years: Part II, 3(2), 14-37.

West, Joseph D. and Hissam (2010) The Reasonableness of Liquidated Damages Provisions – Why Only the Look Back Approach Can Prevent Windfalls, 4(1), 1-21.

10.         Defects, Construction Warranties and Neglience

Cameron, John G., Jr. (2012) Construction Warranties:  How Long Do They Last? 6(1), 21-71.

11.         Design/Build Contracting

Hamersmith, Harold E. and Lozowicki, Edward B. (2008) Can the Spearin Doctrine Survive in a Design-Build World:  Who Bears Responsibility for Hybrid Specifications?, 2(1), 123-143.

12.         Design Responsibility and Liability

Heisse, John R. (2011) The Measure of Malpractice – A Rebuttal to The “Threshold Approach” to Evaluating Errors in Design, 5(2), 1-25.

Heley, Mark J. (2010) Professional or Note:  Should Courts Preclude Contract Limitations of Liability Solely Because of the Architect’s or Engineer’s Status as a Licensed Professional?, 4(1), 23-52.

13.         Disadvantaged Businesses

Thomson, Dean B. (2012) Can Vague Regulations Be “Narrowly Tailored”?  An Analysis of the U.S. Department of Transportation’s DBE Regulations, 6(1), 1-19. 

14.         Economic Loss Principle and Privity

Andrus, Beth M, Gessford, James L. and Joyce, William R. (2008) The Economic Loss Doctrine in Construction Cases:  Are the Odds for Design Professionals Better in Vegas, 2(1), 53-88.

15.         Employment and Labor

16.         Equitable Remedies

17.         Ethics

Lloyd, Humphrey John (2007) Ethics for the Construction Industry:  Relatively Clean Fingernails, 1(1), 23-44.

Sapers, Carl M. (2007) On Teaching Ethics in Schools of Architecture, 1(1), 45-56.

18.         Evidence and Experts

Mockbee, David W. (2011) Architect/Engineer Expert Witnesses:  Professionals or Prostitutes, 5(1), 71-126.

Seals, Robert and Friedlander, Marck C. (2011) Examining Studies Used to Support Expert Opinions:  Does the Study Make the Grade?  An Illustrative Test for Suitability, 5(1), 127-135.

19.         Financing

20.         Green and Sustainable Design and Construction – Environmental

Crowe, Donna M. (2008) For Green Building Issues, Call on Your Inner Green Lawyer, 2(2), 149-164.

Hurtado, Kimberly A. (2011) Emerging Standards of Care for Sustainable Design & Construction, 5(1), 193-219.

O’Connor, Patrick J., Jr. (2011) Legal Considerations in Sustainable Design and Construction, 5(1), 137-191.

 

21.         Indemnity

O’Connor, James Duffy (2007) Wrestling with Reform:  Indemnification Agreements, the Statutory Bars, Promises to Procure, and Insurance Products for the Construction Industry, 1(1), 57-134.

22.         Insurance and Insured Risk

O’Connor, Patrick J., Jr. (2008) Understanding General Liability Coverage:  A Primer for Construction Lawyers, 2(2), 85-148.

O’Connor, Patrick J., Jr. (2009) Business Interruption Coverages for Failures, 3(1), 47-74.

Thomson, Dean B. and Thomson, William D. (2009) A Modest Proposal:  Conflicting Judicial Decisions Should Mandate Insurance Coverage for the Insured under the Ambiguity Doctrine, 3(1), 1-17.

O’Connor, Patrick J., Jr. (2010) 2009 Insurance Law Survey, 4(2), 159-210.

O’Connor, James D. (2011) What Every Court Should Know About Insurance Coverage for Defective Construction, 5(1), 1-70.

23.         Intellectual Property

24.         International

Colby, Kevin, Kohner, Joshua J., and Montalbano, Douglas J. (2010) International Nuclear Liability: From the Perspective of the U.S. Engineering and Construction Industry, 4(2), 37-157.

Pearse, Richard W. (2010) Managing “Split-EPC Contracts” for International Construction Projects, 4(2), 211-241.

25.         Limitations on Actions (e.g., Statutes of Limitation, Statutes of Repose)

26.         Litigation Procedures (Filing, Discovery and Trial)

Whitney, Christopher C. (2007) Rediscovering Discovery in Construction Litigation, 1(2), 103-166.

Zetlin, Michael S. and Fladgate, Christopher J. (2007) The Collateral Use of Violations of Licensing Regulations and Codes of Ethics by Construction Professionals, 1(2), 243-268. 

27.         Payment and Collection (Bankruptcy, Debtor-Creditor, Liens, Miller Act)

O’Connor, Patrick J., Jr., and McNaughton, Kim (2010) Bankruptcy and the Completing Surety, 4(1), 53-82.

Griffin, Deborah, Martin, Hon. Robert, and Schexnayder, Chad (2010) The Intersection of Bankruptcy and Construction:  Treatment of Executory Construction Contracts and Mechanics Liens in Bankruptcy, 4(2), 1-36.

Tricker, Edward H., George, Kory D. and Gerdes, Erin L. (2009) Survey of Prompt Pay Statutes, 3(1), 91-342.

Zicherman, Michael S. (2008) Constitutional Due Process and Mechanic’s Liens:  Do Public Mechanic’s Lien Laws Stand Up to the Challenge?, 2(1), 145-187.

28.         Project Management (e.g., Construction Management, BIM, Inspection and Administration)

O’Connor, Patrick J., Jr. (2007) Productivity and Innovation in the Construction Industry:  The Case for Building Information Modeling, 1(1), 135-183.

29.         Scheduling and Delays

Fletcher, Jennifer W. and Stipanowich, Laura J. (2007) Successful Forensic Schedule Analysis, 1(1), 203-239.

Hess, Stephen A. (2010) Who Should Own the Float?, 4(1), 109-142.

Trauner, Theodore J., Jr., PE, Manginelli, William A., and Furniss, Brian. (2011) Why Owners and Contractors Should Share the Float, 5(2), 27-46.

30.         Site Conditions

31.         Subcontracting

32.         Sureties

33.         Taxes and Accounting

34.         Termination

35.         Miscellaneous

Bruner, Phillip L. (2007) Construction Law and the American College of Construction Lawyers – A History, 1(1), 1-22.

Fletcher, Jennifer W., Davis, Lee C., Herlach, Mark D., Shah, Amish M. and Traylor, Greg W. (2012) Constructing Power:  The Near Term Outlook for Construction of Power Generation Projects in the 21st Century, 5(2), 69-111.

O’Brien, Kevin (2007) Nuclear Power:  Dawn of a New Life?, 1(2), 1-34.

Sapers, Carl M. (2009) Professionalism Redux, 3(2), 1-13.