Search for: "SEC V SHAW" Results 41 - 60 of 77
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9 Jun 2020, 12:26 pm by Kevin LaCroix
Fedner of the Seyfarth Shaw law firm explore the possible opportunities for reform with respect two specific areas of concern: duplicative state and federal court litigation in the wake of Cyan and the payment of mootness fees in merger cases. [read post]
27 Nov 2013, 5:30 pm by Colin O'Keefe
State of Indiana – Chicago lawyer Jason Stiehl of Seyfarth Shaw on the firm’s blog, Trading Secrets Sunshine backed bonds – time to look on the sunny side? [read post]
12 Dec 2011, 4:17 pm by Colin O'Keefe
Sealander and Erika Stocker of McDermott Will & Emery on the firm's blog, Health Care Law Reform Financial Times Reports That SEC Has Written At Least Dozen Companies About Their Business Dealings in Countries Deemed "State Sponsors" of Terror - Washington, DC attorney William McGrath of Porter Wright on the firm's Federal Securities Law Blog Louisiana Supreme Court Follows Wal-Mart v. [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]
26 Nov 2012, 12:34 am by Kevin LaCroix
Supreme Court’s decision in Morrison v. [read post]
5 Oct 2018, 5:52 am
National Australia, SECSEC enforcement, Section 10(b), Securities enforcement, Securities fraud, Securities regulation Cyber Lessons from the SEC? [read post]
19 Apr 2019, 6:12 am
SEC: Expanded Scope of Securities Fraud Liability Posted by Martin J. [read post]
5 Jun 2020, 6:05 am
ESG in the Mainstream: Sell-Side Analysts Addressing ESG Concerns Posted by David Katz, Sabastian V. [read post]
12 Jul 2019, 6:17 am
McNeily, Latham & Watkins LLP, on Thursday, July 11, 2019 Tags: Fiduciary duties, Investment Advisers Act, SECSEC enforcement, Securities enforcement, Securities regulation, U.S. federal courts [read post]
22 Dec 2014, 12:13 pm by Guest Author
The Second Circuit relied upon a thirty year old Supreme Court opinion, Dirks v. [read post]
10 Jul 2020, 5:58 am
Rubinfeld (NYU), on Friday, July 3, 2020 Tags: Asset management, Common ownership, Firm performance, Index funds, Institutional Investors, Ownership An Analysis of the Supreme Court’s Decision in Liu v. [read post]