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18 Jan 2011, 9:35 am by Kara OBrien
” This development provides an early view into what the Staff deems to be sufficient cooperation warranting some form of formal leniency, as well as what incentives the SEC may be willing to offer would-be cooperators. [read post]
11 Jan 2011, 8:23 pm by Veronika Gaertner
The authors criticise the recent ECJ judgment in Wood Floor Solutions Andreas Domberger GmbH v. [read post]
28 Dec 2010, 10:04 am by Mandelman
And here’s the language, related to charging homeowners fees for helping them obtain a loan modification, that applies to those licensed by the state’s Department of Real Estate: SEC. 5. [read post]
9 Dec 2010, 4:47 pm by Stephen Page
(a) and (b) above having economic consequences is clearly in my view relevant under sec. 75(2)(o) to applications for settlement of property instituted under the provisions of sec. 79.Examples of this type of conduct may include circumstances where the drinking and gambling of one party has led to the failure of a business or the dissipation of assets: see Mead and Mead (1983) FLC 91-354 per Asche SJ at 78,369. [read post]
5 Nov 2010, 1:31 pm
A September 30, 2009, decision of the federal district court in New York City granting summary judgment in favor of Del Monte was affirmed.In order to succeed on a Sherman Act, Sec. 2 monopolization claim, the plaintiffs had to establish both: possession of monopoly power in the relevant market and (2) the willful acquisition or maintenance of that power. [read post]
16 Oct 2010, 9:32 am by Thom Lambert
II, Sec. 3), which says that the Executive “shall take Care that the Laws be faithfully executed. [read post]
11 Oct 2010, 7:32 am by Steve Bainbridge
The problem is that the gutless SEC has been even less willing to go after staffers than it was to go after, say, Madoff for all those years. [read post]
20 Sep 2010, 3:46 pm by Jeff Lipshaw
Last spring, in another forum, I blogged extensively about the SEC v. [read post]
7 Sep 2010, 6:00 am by Keith Paul Bishop
”  In support of this proposition, the SEC cites an 80 year old Delaware case, Triplex Shoe Co. v. [read post]
2 Sep 2010, 5:01 pm by James Hamilton
In a comment letter to the SEC, SIFMA said that Dodd-Frank driven SEC regulations establishing a uniform federal fiduciary standard for brokers and advisers should be broadly guided by the dual principles of individual investor protection and individual investor choice. [read post]