Search for: "SEC v. Lewis" Results 161 - 180 of 269
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1 Jun 2010, 2:52 am by Kevin LaCroix
A May 21, 2010 Morgan Lewis memo (here) points out that these new provisions "give whistleblowers significant enhanced incentives to make a report" as part of the SEC’s new whistleblower program, and also provides extensive additional retaliation protections. [read post]
15 Mar 2012, 5:58 pm by Colin O'Keefe
California’s Benefit Corporations Pursue Both Profit and Purpose – San Francisco attorney Karen Meckstroth on her blog, Bay Area Wills, Trusts & Probate Report  FTC Looks to Link Do-Not-Track, Big Data Privacy Concerns; Seeks Solutions – Boris Segalis and Nihar Shah on the InfoLawGroup blog Second Circuit Rebuffs Rakoff, Grants Stay to Hear Appeal on Settlement Ruling – Ohio attorney Kevin LaCroix of OakBridge Insurance Services in his blog, The D & O Diary… [read post]
10 Apr 2014, 5:30 pm by Colin O'Keefe
– Birmingham attorney Pepper Crutcher Jr. of Balch & Bingham on the firm’s blog, the Affordable Care Act Review Coworking Part 4: Managing Employees – Toronto lawyer Lisa Stam on her blog, Employment & Human Rights Law in Canada Still in Its Sights: The SEC Continues Its Increased Scrutiny of Hedge Funds – Washington, DC attorney Nicholas Lewis of McGuireWoods on the firm’s blog, Subject to Inquiry China Patents And Trademarks. [read post]
4 Nov 2009, 2:04 am
Estis, a founding partner at Rosenberg & Estis, and Jeffrey Turkel, a partner at the firm, write that with its Oct. 22, 2009 decision in Roberts v. [read post]
5 Aug 2016, 6:27 am
Loseman, Gibson, Dunn & Crutcher LLP, on Saturday, July 30, 2016 Tags: Class actions, Delaware cases, Delaware law, Disclosure, Fraud-on-the-Market, Halliburton, Merger litigation,Omnicare v. [read post]
25 Mar 2022, 5:48 am
Liu, Dechert LLP, on Friday, March 18, 2022 Tags: Class actions, Compliance and disclosure interpretation, Cryptocurrency, Foreign issuers, International governance, Securities fraud, Securities litigation Special Committee Report Posted by Gregory V. [read post]
27 May 2010, 9:43 am
Notably, “[elvidence of domination alone does not suffice without an additional showing that it led to inequity, fraud, or malfeasance’’ (TNS Holdings v MKI Sec. [read post]
9 May 2023, 9:01 pm by renholding
There is reason to believe the SEC’s new universal proxy Rule 14a-19 will result in more stockholder nominees being elected to the boards of public companies. [read post]
21 Jun 2018, 3:20 pm by Mark Walsh
Lewis and “The Future of Assisted Suicide and Euthanasia. [read post]
The SEC, in other words, scrutinizes whether companies accurately say what they are doing and actually do what they are saying when it comes to ESG. [read post]