The SEC and Foreign Private Issuers: A Path to Optimal Public Enforcement
Posted by Yuliya Guseva (Rutgers), on Sunday, September 30, 2018 Editor's Note: Yuliya Guseva is Associate Professor of Law at Rutgers Law School. This post is based on her recent article, recently...
View ArticleCross Border Shareholder Class Actions Before and After Morrison
Posted by Elaine Buckberg, NERA Economic Consulting, on Saturday, February 11, 2012 Editor's Note: Elaine Buckberg is Senior Vice President at NERA Economic Consulting. This post is based on a NERA...
View ArticleSecurities Litigation: Recent Supreme Court Decisions and Future Trends
Posted by Peter Atkins, Skadden, Arps, Slate, Meagher & Flom LLP, on Wednesday, February 15, 2012 Editor's Note: Peter Atkins is a partner of corporate and securities law matters at Skadden, Arps,...
View ArticleDutch Court Decision Impacts Global Securities Class Actions
Posted by Scott Hirst, co-editor, HLS Forum on Corporate Governance and Financial Regulation, on Saturday, February 18, 2012 Editor's Note: The following post comes to us from Todd G. Cosenza, partner...
View ArticleMorrison’s Impact on Institutional Investors
Posted by Noam Noked, co-editor, HLS Forum on Corporate Governance and Financial Regulation, on Tuesday, February 28, 2012 Editor's Note: The following post comes to us from Jeffrey P. Mahoney, General...
View ArticleEstablishing a “Domestic Transaction” in Securities under Morrison
Posted by Brad S. Karp, Paul, Weiss, Rifkind, Wharton & Garrison LLP, on Thursday, April 26, 2012 Editor's Note: Brad Karp is chairman and partner at Paul, Weiss, Rifkind, Wharton & Garrison...
View ArticleLimits on Extraterritorial Reach of State Law
Posted by George T. Conway III, Wachtell, Lipton, Rosen & Katz, on Tuesday, May 1, 2012 Editor's Note: George Conway is partner in the Litigation Department at Wachtell, Lipton, Rosen & Katz....
View ArticleDefrauded Investors Deserve Their Day in Court
Editor’s Note: Luis A. Aguilar is a Commissioner at the U.S. Securities and Exchange Commission. This post is based on a statement from Commissioner Aguilar; the full statement, including footnotes, is...
View ArticleRecent Trends in US Securities Class Actions against Non-US Companies
Editor’s Note: Elaine Buckberg is Senior Vice President at NERA Economic Consulting. This post is based on a NERA publication by Robert Patton; the full publication, including footnotes, is available...
View Article2012 Year-End Securities Litigation Update
Posted by Robert F. Serio, Gibson, Dunn & Crutcher LLP, on Thursday, February 7, 2013 Editor's Note: Robert F. Serio is head partner in the New York office of Gibson, Dunn & Crutcher and...
View ArticleCourt Curtails Territorial Reach of Criminal Liability Under Section 10(b)
Posted by Noam Noked, co-editor, HLS Forum on Corporate Governance and Financial Regulation, on Wednesday, September 11, 2013 Editor's Note: The following post comes to us from Jonathan R. Tuttle,...
View ArticleImportant Decisions regarding Morrison and Extraterritoriality
Posted by Kobi Kastiel, Co-editor, HLS Forum on Corporate Governance and Financial Regulation, on Friday, May 16, 2014 Editor's Note: The following post comes to us from Lawrence Portnoy, partner in...
View ArticleCourt Holds That US Bankruptcy Code Does Not Permit Recovery of...
Posted by George T. Conway III, Wachtell, Lipton, Rosen & Katz, on Tuesday, July 15, 2014 Editor's Note: George T. Conway III is partner in the Litigation Department at Wachtell, Lipton, Rosen...
View ArticleBack-to-Back Court of Appeals Decisions Apply Morrison
Posted by John F. Savarese and George T. Conway III, Wachtell, Lipton, Rosen & Katz, on Tuesday, August 19, 2014 Editor's Note: John F. Savarese and George Conway are partners in the Litigation...
View ArticleSo Much for Bright-Line Tests on Extraterritorial Reach of US Securities Laws?
Posted by Yaron Nili, Co-editor, HLS Forum on Corporate Governance and Financial Regulation, on Tuesday, September 2, 2014 Editor's Note: The following post comes to us from Jonathan E. Richman,...
View ArticleMorrison at Four: A Survey of Its Impact on Securities Litigation
Posted by George T. Conway III, Wachtell, Lipton, Rosen & Katz, on Wednesday, October 29, 2014 Editor's Note: George Conway is partner in the Litigation Department at Wachtell, Lipton, Rosen &...
View ArticleDo Institutional Investors Value the 10b-5 Private Right of Action?
Posted by June Rhee, Co-editor, HLS Forum on Corporate Governance and Financial Regulation, on Wednesday, January 28, 2015 Editor's Note: The following post comes to us from Robert Bartlett, Professor...
View Article2017 Year in Review: Securities Litigation and Regulation
Posted by Jason Halper, Kyle DeYoung and Adam Magid, Cadwalader, Wickersham and Taft LLP, on Tuesday, January 16, 2018 Editor's Note: Jason Halper is partner and Chair of the Global Litigation Group,...
View ArticleTesting the Limits of Morrison
Posted by Veronica E. Callahan, Vincent A. Sama, and Jennifer Wieboldt, Arnold & Porter Kaye Scholer LLP, on Wednesday, July 11, 2018 Editor's Note: Veronica E. Callahan and Vincent A. Sama are...
View ArticleCircuit Split on Morrison Application
Posted by Jared Gerber, Leslie Silverman, Roger Cooper, and Adam Fleisher, Cleary Gottlieb Steen & Hamilton LLP, on Sunday, August 12, 2018 Editor's Note: Jared Gerber, Roger Cooper, and Adam...
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