
Books
- The Law of Health Care Finance and Organization, (2nd ed., Aspen 2008), with M. Bobinski & D. Orentlicher.
- Bioethics and Public Health Law, (2nd ed., Aspen 2008), with D. Orentlicher & M. Bobinski.
- Medical Liability and Treatment Relationships, (2nd ed., Aspen 2008), with M. Bobinski & D. Orentlicher.
- Health Care Law and Ethics, (7th ed., Aspen 2007), with M. Bobinski & D. Orentlicher.
- Medical Liability and Treatment Relationships, (Aspen 2005), with M. Bobinski & D. Orentlicher (softbound edition based on Health Care Law and Ethics).
- Bioethics and Public Health Law, (Aspen 2005), with M. Bobinski & D. Orentlicher (softbound edition based on Health Care Law and Ethics).
- The Law of Health Care Finance and Organization, (Aspen 2005), with M. Bobinski & D. Orentlicher (softbound edition based on Health Care Law and Ethics).
- Health Care Law and Ethics, (6th ed., Aspen 2003), with M. Bobinski & D. Orentlicher. I am the lead author for this casebook, which is the oldest in the field.
- Health Care Law and Ethics In a Nutshell, with I.M. Ellman & D. Strouse (2nd ed., Wst 1999) (Japanese translation published by Prof. Kunihiko Yoshida, School of Law, Hokkaido University).
- Health Care Law and Ethics, (5th ed., Aspen 1998), with Wm. Curran (deceased), M. Bobinski & D. Orentlicher. Reviewed in J. Leg. Med.
- Making Medical Spending Decisions, (Oxford Univ. Press, 1997). Reviewed in U. Mich. Law Rev. and J. Health Politics, Policy & Law.
- Health Care Corporate Law: Managed Care, (Aspen 1996) with Wm. Brewbaker.
- Health Care Corporate Law: Facilities and Transactions, (Aspen 1996), with Wm. Brewbaker.
- The Charitable Tax Exemption, (Westview Press 1995), with John C. Colombo. Reviewed in Exempt Org. Rev.
- Reforming Private Health Insurance, (American Enterprise Institute 1994), excerpted in K. Wing, et al. eds., The Law and American Health Care 1153-59 (Foundation Press Casebook 1998).
- Health Care Corporate Law: Financing and Liability, (Aspen 1994).
- Health Care Corporate Law: Formation and Regulation, (Aspen 1993).
- Health Care Law, Forensic Science, and Public Policy, with Wm. J. Curran & D.H Kaye (Little, Brown, 4th ed. 1991).
- Health Care Law and Ethics In a Nutshell, with I.M. Ellman (West 1989).
- Teachers’ Manuals (ten in all) for Health Care Law and Ethics casebook series (Aspen, 1991, 1998, 2003, 2005, 2008)
Law and Public Policy Articles and Chapters
- “The Legal and Historical Foundations of Patients as Medical Consumers,” Georgetown L. Rev. (2007).
- “Patients as Consumers: Courts, Contracts, and the New Medical Marketplace,” Mich. L. Rev. (2008), with Carl E. Schneider.
- “Systematic Content Analysis of Judicial Opinions,” Calif. L. Rev. (2008), with Ronald F. Wright. http://papers.ssrn.com/sol3/papers.cfm?abstract_id=913336
- “Paying For What You Get And Getting What You Pay For: Legal Responses To Consumer-Driven Health Care,” 69(4) Law & Contemp. Prob. 159 (Autumn 2006).
- “Rethinking Professional Ethics In The Cost-Sharing Era,” 6(4) Am. J. Bioethics W17-W22 (2006), second author with G. Caleb Alexander & John Lantos.
- “Researching medical trust in the United States,” 20 J. Health Organization Mgt. 456-467 (2006).
- “Rethinking Health Law,” 41 Wake Forest L. Rev. 341 (2006), with Carl Schneider and Lois Shepherd.
- “The History and Future of Health Care Law: An Essentialist View,” 41 Wake Forest L. Rev. 347 (2006).
- “Insurance and Genetic Discrimination,” in Neil F. Sharpe & Ronald F. Carter, eds. Genetic Testing: Care, Consent, and Liability 156-162 (Wiley-Liss, New York, 2005).
- “The Role of State Regulation in Consumer-Driven Health Care,” 31 Am. J. L. & Med. 395-418 (2005), with Timothy S. Jost.
- “Reviving Managed Care with Health Savings Accounts,” 24(6) Health Affairs 1490-1500 (Nov/Dec 2005), with Clark C. Havighurst.
- “The “Death” of Managed Care: A Regulatory Autopsy,” 30 J. Health Politics Policy & Law 427-452 (2005).
- “Can You Trust a Doctor You Can’t Sue?,” 54(2) Depaul L. J. 303-13 (2005).
- A Corporate Ethic of “Care” in Health Care, 3 Seattle J. Soc. Justice 417 (2004).
- “Where Is The “There” In Health Law? Can It Become A Coherent Field?,” 14 Health Matrix 101-5 (2004), with Carl Schneider.
- “Measuring Patients’ Trust In Physicians When Assessing Quality Of Care,” 23(4) Health Affairs 124-132 (July 2004), with David Thom and Gregory Pawlson.
- “Caring, Curing and Trust: A Response to Gatter,” 39 Wake Forest L. Rev. 447 (2004).
- “State Regulation of Medical Necessity: The Case of Weight-Reduction Surgery,” 53 Duke L. J. 653-672 (2003).
- “The Impact of Blue Cross Conversions on Accessibility, Affordability, and The Public Interest,” 81 Milbank Q. 509-42 (2003), with Chris Conover.
- “The Scope and Limits of Public Health Law,” 46 Perspect. Biology Med. S199-S209 (2003).
- “Ideology and Trust: A Reply to Bloche,” 55 Stanford L. Rev. 955-967 (2003).
- “The Management of Conflict Over Health Insurance Coverage,” with G.F. Anderson, in The Privatization of Health Care Reform (M. Gregg Bloche ed., Oxford University Press 2003).
- “What If You Could Sue Your HMO? Managed Care Liability Beyond the ERISA Shield,” 47 St. L. U. L. J. 235-98 (2003), with Gail B. Agrawal.
- “Trust, Law & Medicine,” 55 Stanford L. Rev. 463-527 (2002), reprinted in 9 J. Nursing Law 33 (2003).
- “Discrimination in Insurance: Experience in the United States,” in Encyclopedia of the Human Genome (2003).
- “The Ethics and Empirics of Trust,” in Wm. Bondeson & James Jones, eds., The Ethics of Managed Care: Professional Integrity and Patient Rights (Kluwer, 2002).
- “Market Failures and the Evolution of State Regulation of Managed Care,” 65 L. & Contemp. Prob. 169 (Autumn 2002), with Frank A. Sloan.
- “The Theory and Practice of Disclosing HMO Physician Incentives,” 65 L. & Contemp. Prob. 207 (Autumn 2002).
- “Of Magic Wands and Kaleidoscopes: Fixing Problems in the Individual Market,” 21(6) Health Aff. 12 (Nov. 2002).
- “Measuring Medical Practice Patterns,” 37 Wake Forest L. Rev. 779 (2002), with R. Anderson, et al.
- “HIPAA’s Small-Group Access Laws: Win, Loss or Draw?,” 22 Cato J. 71 (2002).
- “Genetic Enhancement, Distributive Justice, and the Goals of Medicine,” 39 San Diego L. Rev. 669-682 (2002).
- “How Disclosing HMO Physician Incentives Affects Trust,” 21(2) Health Aff. 197 (March 2002).
- “Two Cheers for Employment-Based Health Insurance,” 2 Yale J. Health Pol’y L. & Ethics 23-57 (2002), with David A. Hyman.
- “Arrow on Trust,” 26 J. Health Politics Pol’y & L. 1131 (2001).
- “Trust in Physicians and Medical Institutions: What is it, Can it be Measured, and Does it Matter?,” 79 Milbank Q. 613 (2001), with Elizabeth Dugan, Beiyao Zheng, & Aneil Mishra.
- “Reinsurance Pools for Small-Group Health Insurance,” J. Ins. Reg. Summer 2001 (with Janice Lawlor).
- “HIPCs, MEWAs, and Association Health Plans: A Guide for the Perplexed,” Health Aff., Jan. 2001 (with Elliot Wicks and Janice Lawlor).
- “The Structure and Enforcement of Health Insurance Rating Reform,” 37 Inquiry 376-88 (2001).
- “Health Insurance Purchasing Cooperatives: Performance and Prospects,” Milbank Q., Dec. 2000 (with Elliot Wicks).
- “Disclosure of Physician Incentives: Do Practices Meet Purposes?,” 19 Health Aff., 156 (July 2000).
- “Agents’ Behavior under Health Insurance Market Reforms,” 18 J. Ins. Reg. 341 (2000), with Craig Richardson. Winner of the Spence Kimball Jr. Prize for Best Article of the Year.
- “The Role of Independent Agents in the Success of Health Insurance Market Reforms,” 78 Milbank Q. 23 (2000).
- “An Evaluation of New York's Health Insurance Reform Law,” 25 J. Health Politics Policy & Law 71 (2000).
- “An Evaluation of Vermont’s Health Insurance Reform Law,” 25 J. Health Politics Policy & Law 101 (2000).
- “The Geography of Health Insurance Regulation: A Guide to Identifying, Exploiting, and Policing Market Boundaries,” 19(2) Health Affairs 173 (2000).
- “Genetic Privacy Laws and Patients’ Fear of Discrimination by Health Insurers: The View from Genetic Counselors,” 28 J.L. Med. & Ethics 245, with Stephen Rich.
- “The Competitive Impact of Small Group Health Insurance Reform Laws,” 32 Univ. Michigan J. Law Reform 685 (1999).
- “Legal Rules and Industry Norms: The Impact of Laws Restricting Health Insurers’ Use of Genetic Information,” 40 Jurimetrics 93 (1999), reprinted in Lori B. Andrews, et al., eds., Genetics: Ethics, Law and Public Policy (2002) (West casebook).
- “State Strategies to Reduce the Growing Numbers of People without Health Insurance,” 22(3) Regulation (1999), with Frank Sloan and Chris Conover.
- “Restricting Insurers’ Use of Genetic Information: a Guide to Public Policy,” 3 No. Am. Actuarial J. 34 (1999). Chosen for the James C.H. Anderson Memorial Award from the Actuarial Education and Research Fund.
- “Referral Practices under Capitation,” in Ethical Challenges in Managed Care: A Casebook (K. Gervais, et al. eds. 1999).
- “Public Choice and Private Insurance,” 1998 Ill. L. Rev. 501.
- “The Ethics of Managed Care,” 28 Cumb. L. Rev. 287 (1998), with Rbt. A Berenson (lead article in a symposium, with four commentaries in response).
- “A Theory of Economic Informed Consent,” 31 Ga. L. Rev. 511 (1997).
- “Insurers’ Use of Genetic Information,” 37 Jurimetrics J. 13 (1996).
- “Insurance Regulation of Providers that Bear Risk,” 22 Am. J. L. & Med. 361-87 (1996), with Allison Overbay, reprinted in John H. Robinson, et al., eds., A Health Law Reader: An Interdisciplinary Approach (1999).
- “Judicial Protection of Managed Care Consumers: An Empirical Study of Insurance Coverage Disputes,” 26 Seton Hall L. Rev. 1055-68 (1996), with T.R. Smith, M. Naughton & A. Ebbers.
- “Physician Rationing and Agency Cost Theory,” in R. Spece, et al. eds., Conflicts of Interest in Clinical Practice and Research 228-50 (1996).
- “Liberal and Communitarian Ethics of Insurance Selection,” in R. Misbin, et al. eds., Health Care Crisis: The Search for Answers? 94-111 (1995).
- “Rationing Health Care at the Bedside,” 69 NYU L. Rev. 693-780 (1994), reprinted in Lars Noah, Law, Medicine & Medical Technology 994 (2d ed. 2007) (Foundation Press casebook).
- “The Problems with Rule-Based Rationing,” 19 J. Med. & Philo. 315-32 (1994), reprinted in 17 Int’l Bioethics & Phil. Med. 623-31 (1996).
- “The Ethics of Health Care Rationing,” 8 Pub. Aff. Q. 33-50 (1994).
- “Managed Competition and Integrated Health Care Delivery Systems,” 29 Wake Forest L. Rev. 1-14 (1994).
- “Is Community Rating Essential to Managed Competition?,” (1994) (AEI Press).
- “The Role of Insurance Purchasing Cooperatives in Health Care Reform,” 3 Kan. J. L. Pub. Pol'y 95-105 (1994).
- “Redefining the Terms of Health Insurance to Accommodate Varying Consumer Risk Preferences,” 20 Am. J. L. & Med. 187-201 (1994), with Ira M. Ellman.
- “Health Insurance: Community-Rating or Experience-Rating?,” 2 Responsive Comm'y 79-82 (1994).
- “Informed Consent to Rationing Decisions,” 71 Milbank Q 645-68 (1993).
- “Health Insurers’ Assessment of Medical Necessity, with G.F. Anderson,” 140 U. Pa. L. Rev. 1637-1712 (1992), reprinted in Rand E. Rosenblatt, et al., Law and the American Health Care System (1997) (Foundation Press casebook).
- “The Political Economics of Health Insurance Market Reform,” 11 Health Aff. 108-124 (summer 1992).
- “The Adequacy of Hospital Reimbursement Under Medicaid’s Boren Amendment,” 13 J. Leg. Med. 205 (1992).
- “The Donative Theory of the Charitable Tax Exemption,” with J.D. Colombo, 52 Ohio St. L. J. 1379-1476 (1992), reprinted in J. Fishman & S. Schwarz, Nonprofit Organizations 344 (2nd ed. 2000) (Foundation Press casebook), and in N. Cafardi & J. Cherry, Tax Exempt Organizations: Cases and Materials 81 (2003) (LexisNexis casebook), and in J. Fishman & S. Schwarz, Taxation of Nonprofit Organizations 82 (2003) (Foundation Press casebook).
- “The Future of Tax-Exemption for Non-Profit Hospitals and Other Health Care Providers,” 2 Health Matrix 1 (1992), with John C. Colombo, reprinted in K. Wing, et al. eds., The Law and American Health Care 1153-59 (1998) (Aspen Press casebook).
- “The Charitable Status of Nonprofit Hospitals: Towards a Donative Theory of Tax Exemption,” with J.D. Colombo, 66 U. Wash. L. Rev. 340-41 (1991), reprinted in J. Fishman & S. Schwarz, Nonprofit Organizations 367 (1995) (Foundation Press casebook).
- “The Defensive Effect of Medical Practice Policies in Malpractice Litigation,” 54 L. & Contemp. Prob. 119-46 (Spring 1991).
- “Health Care Cost Containment and the Stratification of Malpractice Law,” 30 Jurimetrics J. 501-08 (1990).
- “The Medical Malpractice Standard under Health Care Cost Containment,” 17 L. Med. & Health Care 347-62 (1989).
- “Institutional Control of Physician Behavior: Legal Barriers to Health Care Cost Containment,” 137 U. Pa. L. Rev. 431-536 (1988), excerpts reprinted in Janet L. Dolgin & Lois L. Shepherd, Bioethics and the Law (Aspen, 2005).
- “The Unlikely Case in Favor of Patient Dumping,” 28 Jurimetrics J. 389-97 (1988).
- “Making Sense of Referral Fee Statutes,” 13 J. Health Pol. Pol'y & L. 623-32 (1988).
- “The Jurisdictional Nature of the Time to Appeal,” 21 U. Ga. L. Rev. 299-427 (1986).
- “Rate Appeals under Medicare’s New Prospective Payment System: Reflections on the Meaning of ‘Prospectivity’,” 38 U. Fla. L. Rev. 407-47 (1986).
- “Hospital and Physician Disclosure of Patient Crimes,” 62 U. Det. L. Rev. 145-182 (1985).
- “Intergovernmental Cooperation and the Transfer of Powers,” U. Ill. L. Rev. 775 (1981).
- “Common Carriers under the Communications Act,” 48 U. Chi. L. Rev. 409 (1981).
- “Lawful Domicile under ' 212(c) of the Immigration and Nationality Act,” 47 U. Chi. L. Rev. 771 (1980).
Peer-Reviewed Articles (Medical and Science Journals)
- “Genetic Screening for Iron Overload: No Evidence of Discrimination at 1 Year,” 56 J. Fam. Prac. 829 (2007), 1st author with James Barton, Paul Adams, et al.
- “The Effects of Disclosing Financial Conflicts of Interest in Clinical Research: Evidence from a Large National Survey,” under review 2007, 2nd author with Kevin P. Weinfurt, Joelle Y. Friedman, et al.
- “Attitudes of African American and Low Socioeconomic Status White Women Toward Medical Research,” 18 J. Health Care Poor Underserved 85-99 (2007), 4th author with Deborah Farmer, et al.
- “Measuring Trust in Medical Research,” Medical Care, 44 Medical Care 1048-1053 (2006). 1st author with F. Camacho, Janice Lawlor, et at.
- “Developing Model Language for Disclosing Financial Interests to Potential Clinical Research Participants,” 29(1) IRB Ethics & Human Research 1-5 (Feb. 2007), 5th author with Kevin P. Weinfurt, Jennifer S. Allsbrook, et al.
- “Disclosing Conflicts of Interest in Research: Views of IRBs, Conflict of Interest Committees, and Investigators,” 34 J. Law Medicine & Ethics 581 (2006), 5th author with Kevin P. Weinfurt, Joelle Y. Friedman, et al.
- “Views of Potential Research Participants on Financial Conflicts of Interest: Barriers and Opportunities for Effective Disclosure,” 21 J. Gen. Intern. Med. 901 (2006), 5th author with Kevin P. Weinfurt, Joelle Y. Friedman, et al.
- “Policies of Academic Medical Centers for Disclosing Financial Conflicts of Interest to Potential Research Participants,” 81 Acad. Med. 113-18 (Feb. 2006), 5th author with Kevin P. Weinfurt, Michaela A. Dinan, et al.
- “Employers’ Liability Risk for Managed Care Injuries,” 22(1) Benefits Q. 45-48 (Jan. 2006).
- “Privatization of Blue Cross Plans: Public Benefit or Public Harm?,” 27 Annu. Rev. Public Health 443-463 (2006), 1st author with Christopher Conover.
- “The Impact on Patient Trust of Legalizing Physician Aid in Dying,” 31 J. Med. Ethics 693-697 (2005), 1st author with Felicia Trachtenberg and Elizabeth Dugan.
- “Patient Acceptability of Genotypic Testing for Hemochromatosis In Primary Care,” 7 Genetics in Medicine 557-563 (2005), 3rd author with Roger T. Anderson, Nancy Press, Diane Tucker, et al.
- “Impacts of Managed Care Patient Protection Laws on Health Services Utilization and Patient Satisfaction with Care,” 40 Health Services Res. 647-667 (June 2005), 3rd author with Frank Sloan & John Rattliff.
- “Health Insurers’ Medical Necessity Determinations for Bariatric Surgery,” 1(2) Surg for Obesity Related Disorders 86-90 (March 2005).
- “Concerns In A Primary Care Population About Genetic Discrimination By Insurers,” 7(5) Genetics in Med. 311-16 (2005), 1st author with Jean E. McEwen, James C. Barton, et al.
- “How Patients’ Trust Relates To Their Involvement In Medical Care,” 54 J. Fam. Pract. 344-52 (2005), 2nd author with Felicia Trachtenberg & Elizabeth Dugan.
- “Liability Implications of Physician-Directed Care Coordination,” 3 Ann. Fam. Med. 115-120 (2005), 1st author with Ralph Peeples and Richard Lord.
- “How Patient-Physician Encounters In Critical Medical Situations Affect Trust: Results Of A National Survey,” 4 BMC Health Services Research 24 (2004), 2nd author with Rahul A. Shenolikar & Rajesh Balkrishnan.
- “Do Employers Voluntarily Include Patient Protections in Self-Insured Health Plans?,” Managed Care Interface, Jan. 2005, pp. 76-80, 2nd author with Janice Lawlor.
- “Managed Care Patient Protection or Provider Protection? A Qualitative Assessment,” 117 Am. J. Med. 932 (2004).
- “Balancing Commercial and Public Interests.” 5(6) Current Controlled Trials in Cardiovascular Medicine 1 (2004), 2nd author with Curt Furberg & Mary Anne Sevick.
- “An Exploration of Patients’ Trust in Physicians in Training,” 15 J. Health Care for the Poor and Underserved 294-306 (2004), 4th author with Denise E. Bonds, et al.
- “Malpractice Litigation Reform: Empirical Approaches to Establishing the Legal Standard of Care,” 19(5) J. Medical Practice Mgt. 279 (April 2004), 1st author with Michael D. Green.
- “The Impact and Enforcement of Prudent Layperson Laws,” 43 Ann Emerg. Med. 558-66 (2004).
- “Effect of Language Immersion on Communication With Latino Patients,” 64 N.C. Med. J. 258-62 (2003), 3rd author with Shari Barkin, et al.
- “Trust and Satisfaction with Physicians, Insurers, and the Medical Profession,” 41 Medical Care 1058 (2003), 2nd author with Balkrishnan R., Dugan E., & Camacho F.T.
- “Trust in the Medical Profession: Conceptual and Measurement Issues,” 37 Health Serv. Res. 1419-39 (Oct. 2002), 1st author with Fabian Camacho, Elizabeth Dugan, et al.
- “Measuring Patients’ Trust in their Primary Care Providers,” 59 Med. Care Res. & Rev. 293 (2002), 1st author with Beiyao Zheng, Elizabeth Dugan, et al.
- “Capitation Payment, Length of Visit, and Preventive Services: Evidence from a National Sample of Outpatient Physicians,” 8 Am. J. Managed Care 332-40 (April 2002), 2nd author with Rajesh Balkrishnan, Don Mehrabi, et al.
- “Do Patients Trust Their Doctors? Does it Matter?,” 62 N.C. Med. J.188-191 (2001). Patients’ fear of genetic discrimination by health insurers: the impact of legal protections, 2 Genetics in Medicine 214‑21 (2000), 1st author with Stephen Rich.
- “Laws Restricting Health Insurers’ Use of Genetic Information: Impact on Genetic Discrimination,” 66 Am. J. Human Genetics 293 (2000), 1st author with Stephen Rich.
- “The Impact of Health Insurance Market Reforms on Market Competition,” 6 Am. J. Managed Care 57 (2000).
- “Ethical Practice in Managed Care: A Dose of Realism,” 128 Ann. Intern. Med. 395 (1998), 1st author with Rbt. A. Berenson.
- “When Courts Review Medical Appropriateness,” 36 Medical Care 1295 (1998), 2nd author with G.F. Anderson & T.R. Smith.
- “Medical Technology Assessment and Practice Guidelines: Their Day in Court,” 2nd author with G.F. Anderson & E.P. Steinberg, 83 Am. J. Pub. Health 1635-39 (1993).
- “Reforming the Health Insurance Market for Small Businesses,” 326 New Eng. J. Med. 565-70 (1992).
Miscellaneous
- “Did Regulation Kill Managed Care?,” 3 (4) Law and Bioethics Report (Spring 2004).
- Letter, “Evidence-Based Medicine on Trial,” 291 JAMA 1697 (2004).
- Book Review, “Holding Health Care Accountable,” by Haavi Morreim, 28 J. Health Pol. Pol’y & L. 556-560 (2003).
- Assessment of Potential Impact on Accessibility and Affordability of Blue Cross & Blue Shield of North Carolina’s Proposed Conversion to For-Profit Status, submitted to N.C. Commissioner of Insurance, 2002-2003, with Christopher J. Conover.
- Symposium Introduction: Empirical Approaches to Establishing the Medical Standard of Care, 37 Wake Forest L. Rev. 663 (2002), with Michael D. Green.
- Barriers to Small‑Group Purchasing Cooperatives (March 2000), a research report done for the Economic and Social Research Institute, with Elliot K. Wicks and Jack A. Meyer.
- Letter, “How Should Physicians Involve Patients in Medical Decisions?” 283 JAMA 2390 (2000), with Carl Schneider, reprinted in Marsha Garrison & Carl E. Schneider, The Law of Bioethics: Individual Autonomy and Social Regulation (2003).
- When Genes are Decoded, Who Should See the Results? New York Times, Feb. 29, 2000, at D7 (invited op-ed column).
- Forward, “Genetics, Law and Public Policy,” Wake Forest L. Rev., 1999.
- Letter, “Expanding Managed Care Liability,” Health Affairs, 1999
- Letter, “Exploring the Ethics of Clinical Role Conflicts,” 282 JAMA 132 (1999)
- Book Review, U.S. Health Law and Policy: A Guide to the Current Literature, by Donald Caldwell, Jr., 20 J. Leg. Med. 435-39 (1999).
- Character of Guidelines Evolves, Concern Lingers Over Protection, 13(4) Medical Malpractice Law & Strategy 1-4 (1996), with D.S. Dadakis.
- Managed Competition Meets Tax-Neutrality, 14(2) Health Aff 274 (1995).
- Letter to the Editor, Ann. Intern. Med. 1996 (regarding health care rationing).
- Letter to the Editor, New Eng. J. Med. 1995 (regarding outcomes research).
- Book review, J. Health Pol. Pol’y & Law 1995 (regarding Medicaid fraud).
- Letter to the Editor, 11 Issues in Science and Technology 18 (1995) (regarding organ procurement).
- Futility policies and the law. 56 NC Med J 450 (1995).
- Medical Liberalism's past and Future. Review Of: E.J. Emanuel, The Ends of Human Life: Medical Ethics in a Liberal Polity, 34 Jurimetrics J 235 (1994), with Kader D, Karjala D, et al.
- Health Policy and the Courts. Health Affairs 1993 (Spring); 230 (letter).
- Book review of M. Siegler et al., Medical Innovation and Bad Outcomes. 28 Jurimetrics J. 247-52 (1988).
- Book review of P. Danzon, Medical Malpractice: Theory, Evidence, and Public Policy, 26 Jurimetrics J 203 (1986).
- Introduction to: Diana S. Greene, 79 Ways to Calm a Crying Baby (1988).

