Search for: "GOLDMAN SACHS GROUP INC, a Delaware corporation" Results 1 - 20 of 41
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27 Mar 2023, 9:01 pm by renholding
We review a number of significant developments in Delaware corporate law, including the Court of Chancery’s clarification of directors’ oversight duties, and the Delaware General Assembly’s expansion of Section 102(b)(7) of the Delaware General Corporation Law to include exculpation of officers for personal liability arising from breaches of the duty of care. [read post]
9 Oct 2022, 10:51 am by Francis Pileggi
The Delaware Supreme Court recently overturned the approval of a settlement of a Goldman Sachs Group Inc. shareholder’s legal challenge to an allegedly extravagant pay plan for the investment company’s non-employee directors, because the pact would wrongly release future claims based on liability arising from the pact itself in Griffith v. [read post]
16 Jul 2021, 6:18 am
Magid, and Matthew Karlan, Cadwalader, Wickersham & Taft LLP, on Thursday, July 15, 2021 Tags: Basic, Class actions, Fraud-on-the-Market, Goldman Sachs, Halliburton, Institutional Investors, Pension funds, Securities fraud, Securities litigation, Supreme Court Compensation Disclosures and Strategic Commitment: Evidence from Revenue-Based Pay Posted by Matthew J. [read post]
9 Jul 2021, 5:50 am
Arain, and Reanne Zheng, Jenner & Block LLP, on Wednesday, July 7, 2021 Tags: Basic, Class actions, Fraud-on-the-Market, Goldman Sachs, Reliance, SEC enforcement, Securities enforcement, Securities fraud, Securities litigation, Supreme Court CEO Succession Practices in the Russell 3000 and S&P 500 2021 Edition Posted by Matteo Tonello (The Conference Board, Inc.), Jason D. [read post]
20 May 2021, 3:00 am by John Jenkins
Already this year, U.S. companies have authorized $504 billion of share repurchases, according to Goldman Sachs Group data through May 7, the most during that period in at least 22 years. [read post]
20 Sep 2019, 6:17 am
Kress (University of Michigan), on Tuesday, September 17, 2019 Tags: Bank Holding Company Act, Banks, Financial crisis, Financial institutions, Financial regulation, Mergers & acquisitions, Systemic risk Trends in Executive Compensation Posted by Michael Kesner, Ed Sim, and Tara Tays, Deloitte Consulting LLP, on Tuesday, September 17, 2019 Tags: Boards of Directors, CFOs, Compensation committees, Compensation… [read post]
10 Aug 2018, 6:11 am
Ryan, K&L Gates LLP, on Friday, August 3, 2018 Tags: Information environment, Investment advisers, Investment Advisers Act, Reputation, SEC, SEC enforcement, Securities enforcement, Securities regulation, Social media The Regulation of Proxy Advisors Posted by Steve Seelig and Puneet Arora, Willis Towers Watson, on Friday, August 3, 2018 Tags: Corporate Governance Reform and Transparency Act, Glass… [read post]
4 Sep 2017, 2:20 pm by Kevin LaCroix
Michael Klausner and Jason Hegland of Stanford Law School detailed in a guest post on this blog (here), since 2009, a significantly larger number of securities class action lawsuits (both in terms of absolute numbers of lawsuit filings and in terms of percentage of all lawsuits filed) are now being filed by a group of small plaintiffs’ firms that were not previously active in filing securities lawsuits. [read post]
29 Feb 2016, 4:43 pm by Kevin LaCroix
This past year was an eventful one in the corporate and securities litigation arena, with the U.S. [read post]
30 Dec 2014, 12:03 pm by John Jascob
Goldman Sachs & Co. (2012), which allowed plaintiffs in putative class actions to assert claims related to RMBS certificates they did not own. [read post]
11 Nov 2013, 3:39 am by Peter Mahler
Blankfein: Demand Not Excused The next case involving derivative claims and demand futility stems from investment bank Goldman Sachs Group, Inc. [read post]