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10 Jun 2016, 6:15 am
Reassessing the Distinction Between Corporate and Securities Law Posted by James J. [read post]
12 Mar 2024, 12:46 pm by admin
Feb. 24, 2010) (quoting from Rule 26 report of Martin T. [read post]
16 Feb 2018, 6:21 am
Brown, Paul, Weiss, Rifkind, Wharton & Garrison LLP, on Sunday, February 11, 2018 Tags: Anti-corruption, Compliance & ethics, Corporate fraud, DOJ, FCPA, International governance, SEC, SEC enforcement, Securities enforcement, Whistleblowers, Yates memo Second Circuit’s Application of the Halliburton Doctrine Posted by Monica Loseman, Jason Mendro, and Lissa Percopo, Gibson, Dunn & Crutcher LLP,… [read post]
23 Apr 2012, 3:04 am by INFORRM
Just in time for Murdoch’s visit, Tom Watson MP has released his new book, co-written with journalist Martin Hickman, Dial M for Murdoch. [read post]
30 Aug 2010, 1:17 am by Kelly
(Docket Report) District Court N D California: Reasonable royalty damages for indirect infringement not limited to ‘Specific Acts of Infringement’: Tyco Healthcare Group LP d/b/a Vnus Medical Technologies v. biolitec, Inc. et al. [read post]
17 Aug 2021, 6:40 pm by Michael Douglas
However, the 1997 Model Law does not require a State to follow this mechanism.[22] Under the Anglo-Australian mechanism (a) a debt may not be discharged pursuant to Gibbs (b), but creditors are treated equally at the enforcement stage. [read post]