Search for: "DANIEL KARP" Results 21 - 40 of 67
Sort by Relevance | Sort by Date
RSS Subscribe: 20 results | 100 results
14 Jul 2017, 6:19 am
Karp, Paul, Weiss, Rifkind, Wharton & Garrison LLP, on Tuesday, July 11, 2017 Tags: CalPERS, Class actions, Institutional Investors, Section 11, Securities litigation, Securities regulation, Settlements, Shareholder suits, Statute of limitations, Supreme Court, Tolling The Value of the Shareholder Proposal Process Posted by Julie Fox Gorte, Pax World Management, and Tim Smith, Walden Asset Management, on Tuesday, July… [read post]
30 Nov 2016, 7:09 pm by Ron Coleman
” As Warhol responds to the journalist’s questions in his faux-naif manner, dealer Ivan Karp stands beside him, grinning as though he and the artist were sharing an inside [read post]
11 Nov 2016, 4:07 am by Kevin LaCroix
In the following guest post, attorneys from the Paul Weiss law firm review and analyze a November 3, 2016  Second Circuit decision (here)  in which the appellate court held that the standard pre-IPO lock-up agreements between a company’s pre-IPO shareholders and the company’s lead IPO underwriters do not make those parties a “group” within Section 13(d) of the ’34 Act, and therefore that the lock-up agreement alone is insufficient to trigger Section 16(b)… [read post]
28 Jul 2016, 4:53 pm by Kevin LaCroix
Karp 212-373-3316 bkarp@paulweiss.com   Daniel J. [read post]
8 Jun 2016, 2:49 pm by Kevin LaCroix
On May 23, 2016, in an interesting development in one of the more high profile lawsuits to arise out of the financial crisis, the Second Circuit reversed the $1.27 billion civil penalty that Southern District of New York Judge Jed Rakoff  imposed on Countrywide and several related defendants in a case involving the company’s sale of mortgages to government sponsored entities. [read post]
3 Jun 2016, 6:19 am
Karp, Paul, Weiss, Rifkind, Wharton & Garrison LLP, on Tuesday, May 31, 2016 Tags: Broker-dealers, Exchange Act, Financial institutions, Jurisdiction, Liability standards, Regulation SHO, SEC,Shareholder suits, Shareholder voting, Short sales, State law, Supreme Court, U.S. federal courts Holding Activists and Proxy Advisory Firms Accountable? [read post]
20 May 2016, 6:45 am
Thomas School of Law, on Thursday, May 19, 2016 Tags: Compliance & ethics, Dodd-Frank Act, Financial regulation, Fund managers, Private equity, Private funds,Securities regulation, Surveys Intersection of Deal-Related Indemnification and D&O Advancement Posted by Daniel E. [read post]
18 May 2016, 5:45 am by Kevin LaCroix
Among the decisions that the Supreme Court issued this past Monday was its unanimous ruling in Merrill Lynch, Pierce, Fenner & Smith Inc. v. [read post]
6 Oct 2015, 3:05 am by Kevin LaCroix
The U.S. government’s petition for writ of certiorari in the case of United States v. [read post]