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February 8, 2018 Second and Ninth Circuits Weigh in on Securities Litigation Standards
Client Memorandum
January 23, 2018 Quarterly Report – Life Sciences Securities Litigation Activity in Q4 2017
Client Memorandum
December 21, 2017 Securities Fraud Class Action Suits Following Cyber Breaches: The Trickle Before the Wave
Client Memorandum
December 5, 2017 White Collar Update: Solicitor General Sides with Opponents, Agrees SEC ALJs are Unconstitutionally Appointed
Client Memorandum
October 18, 2017 Life Sciences Securities Litigation Activity in Q3 2017
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July 19, 2017 Increased Activity and Emerging Patterns in Securities Litigation Against Life Sciences Companies
Client Memorandum
July 11, 2017 Morrison and Class Certification: The Second Circuit Petrobras Decision
Client Memorandum
June 28, 2017 Securities Litigation Update: After Full D.C. Circuit Deadlocks, Circuit Court Split over the Constitutionality of SEC Administrative Law Judges Likely Bound for Supreme Court
Client Memorandum
June 27, 2017 Supreme Court Declines to Apply Class Action Tolling and Upholds Dismissal of Individual Securities Cases Filed After Expiration of Statutes of Repose
Client Memorandum
March 30, 2017 PCAOB Cross-Border Enforcement
Client Memorandum
January 5, 2017 Circuit Court Split over the Constitutionality of SEC Administrative Law Judges Tees Up Issue for the Supreme Court
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January 5, 2017 VW Ruling – Morrison Not A Bar To Securities Claims Involving ADRs
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December 12, 2016 PCAOB Enforcement Milestone
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December 6, 2016 Addressing the Growing Threat of Securities Class Actions in the Life Sciences Sector
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August 31, 2016 Ninth Circuit Issues SOX Opinion—Approves Compensation Clawback Even for Executives Not Engaged in Misconduct
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June 13, 2016 New York Court of Appeals Limits Availability of Common Interest Privilege
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June 6, 2016 2nd Cir. Holds that the Federal Courts Lack Jurisdiction to Hear Attacks Against Ongoing SEC Administrative Proceedings
Client Memorandum
September 15, 2015 Whistleblowers Who Report Alleged Wrongdoing Internally Are Entitled to Dodd-Frank’s Anti-Retaliation Protections
Client Memorandum
June 4, 2014 Second Circuit Vacates Judge Rakoff’s Rejection of Consent Settlement in SEC v. Citigroup Global Markets
Client Memorandum
May 6, 2014 The Second Circuit Issues Decision of First Impression With Respect to Morrison and Extraterritoriality
Client Newsflash
March 30, 2012 The STOCK Act: Implications for Trading on Political Intelligence
Client Memorandum
June 13, 2011 Supreme Court Limits False Statement Liability Under Rule 10b-5 To Those Who Actually Make Misstatements
Client Newsflash
June 6, 2011 Supreme Court Determines that Class Certification Does Not Require Proof of Loss Causation in Securities Fraud Cases
Client Newsflash
March 22, 2011 Decision in Matrixx Initiatives, Inc. v. Siracusano Rejects Bright-Line Rule in Securities Fraud Action Based on Pharmaceutical Company's Failure to Disclose Adverse Event
Client Newsflash
January 11, 2011 Supreme Court Agrees to Hear Important Securities Case
Client Newsflash
June 28, 2010 U.S. Supreme Court Limits Extraterritorial Application of U.S. Securities Laws—Morrison v. National Australia Bank
Client Newsflash
June 16, 2010 Supreme Court to Address Securities Fraud Pleading Standards
Client Newsflash