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20 Feb 2014, 12:00 am by Gilles Cuniberti
On 6 February 2014, the Court of Justice of the European Union delivered its judgment in Blomqvist v. [read post]
10 Feb 2017, 8:49 am by John Jascob
The court also declined to entertain related control person liability claims, never reached other CEA merits claims, and dismissed a state law unjust enrichment claim (Choi v. [read post]
10 Jun 2014, 1:56 am by Jeremy Speres
  That latter section does not expressly state that the opposition period cannot be extended after the fact. [read post]
22 Jun 2014, 5:34 am by Jani
Under common law a mark is protectable through its use, or as was stated by Justice Pitney in United Drug Co v Theodore Rectans Co: "...the right to a particular mark grows out of its use, not its mere adoption; its function is simply to designate the goods as the product of a particular trader and to protect his good will against the sale of another's product as his". [read post]
20 Jun 2011, 5:58 pm
Challenge to Morgan Insider Policy Falters on Grounds of Conflict Preemption, BNA Broker/Dealer Compliance Report, June 1, 2011 Marcia Bloemendaal, et al v. [read post]
10 Feb 2009, 6:39 am
This afternoon, after an interminable delay, the Opinion of Advocate General Mengozzi of the Court of Justice of the European Communities was finally posted on the Curia website in Case C-487/07 L'Oréal SA, Lancôme parfums et beauté & Cie SNC, Laboratoire Garnier & Cie v Bellure NV, Malaika Investments Ltd, trading as "Honey pot cosmetic & Perfumery Sales"), Starion… [read post]
10 Jun 2008, 8:19 am
COURT OF APPEALS, SECOND CIRCUITCriminal PracticePanel Rejects Black Defendant's Claim That 'Batson' Inapplicable Where Removal of White Jurors Is SoughtUnited States v. [read post]
31 Oct 2022, 3:13 am by CMS
In this post, Jack Prytherch, Of Counsel in the Tax team at CMS, previews the case of News Corp UK & Ireland Limited v Commissioners for His Majesty’s Revenue and Customs, which is scheduled to be heard on 22 and 23 November 2022. [read post]
27 Jul 2013, 9:36 pm by James Hamilton
The Entity-Level Requirements under Title VII of the Dodd-Frank Act and the Commission’s regulations promulgated thereunder relate to: (i) capital adequacy; (ii) chief compliance officer; (iii) risk management; (iv) swap data recordkeeping; (v) swap data repository reporting (“SDR Reporting”); and (vi) physical commodity large swaps trader reporting (“Large Trader Reporting”).The guidance divides these requirements into two categories. [read post]
17 Jun 2012, 7:10 pm by Barry Eagar
Faulding & Son Ltd v Imperial Chemical Industries of Australia and New Zealand Ltd. (1965) 112 CLR 537, who summarised the appropriate inquiry as follows:"The question to be asked in order to test whether a word is adapted to distinguish one trader's goods from the goods of all others is whether the word is one which other traders are likely in the ordinary course of their business and without any improper motive, to desire to use upon or in connection with… [read post]