| 04/11/2013 |
Delaware Supreme Court Holds That Chancery Court Should Have Given Preclusive Effect to California Judgment Dismissing Complaint for Failing to Plead Demand Futility
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| 04/01/2013 |
Comcast Corp. v. Behrend: Supreme Court Rejects Expert Damages Model as Insufficient for Class Certification in Antitrust Class Action
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| 03/04/2013 |
Amgen Inc. v. Connecticut Retirement Plans & Trust Funds: Supreme Court Rejects Proof of Materiality at the Class Certification Stage
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| 02/28/2013 |
Supreme Court Limits Government’s Ability to Seek Civil Penalties on Stale Claims
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| 01/30/2013 |
Securities Litigation Year in Review 2012
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| 09/13/2012 |
Not So Fast: Recovering Plaintiff Attorneys’ Fees in Non-Monetary Class Action Settlements Just Got Harder
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| 08/15/2012 |
Fifth Circuit Holds SEC Claims Against Bartek Untimely
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| 08/14/2012 |
Rosado v. China North East Petroleum Holdings Ltd.: Second Circuit Holds Stock Price Recovery after Alleged Fraud Does Not Bar Securities Suit
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| 07/27/2012 |
Hubbard v. BankAtlantic Bancorp, Inc.: Eleventh Circuit Rejects Event Study as Insufficient to Isolate Effects of Alleged Fraud on Company’s Stock Price
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| 06/15/2012 |
Supreme Court to Again Address Class Certification in Securities Fraud Suits
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| 05/23/2012 |
Fifth Circuit: Class Arbitration Proceedings Available Only with the Parties’ Consent
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| 04/12/2012 |
Bloomberg BNA Features Haynes and Boone 2011 Securities Litigation Highlights Report
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| 03/27/2012 |
Supreme Court Holds That a Failure to File Section 16(a) Disclosures Does Not Toll the Statute of Limitations on Recovery of Short Swing Profits
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| 03/23/2012 |
Connections and Tangential Relationships: the Fifth Circuit Rules on Issue of First Impression and Adopts Standard for SLUSA Preclusion
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| 02/13/2012 |
Fifth Circuit Affirms Courts’ Discretion on Fee Methods in Common Fund Class Settlements
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| 02/03/2012 |
Securities Litigation Year in Review 2011
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| 09/09/2011 |
SEC Abandons Fight on Shareholder Proxy Access Rule
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| 08/22/2011 |
Aqua Dots Products Liability Litigation: Company’s Voluntary Reimbursement Plan Defeats Class Certification
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| 07/06/2011 |
The U.S. Supreme Court Addresses Application of the Fiduciary Exception to the Attorney-Client Privilege in the Trust Context
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| 06/21/2011 |
A Tale of Two Class Actions: U.S Supreme Court Ruling Allows State Litigation to Proceed Despite Federal Injunction
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| 06/21/2011 |
U.S. Supreme Court Blocks Massive Nationwide Employment Discrimination Class Action Against Wal-Mart
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| 06/14/2011 |
Janus Capital Group, Inc. v. First Derivative Traders: Supreme Court Declines To Expand Circle of Potential Defendants In Securities Actions
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| 06/07/2011 |
Supreme Court Rejects Fifth Circuit Requirement that Securities Fraud Plaintiffs Must Prove “Loss Causation” at Class Certification Stage
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| 04/01/2011 |
Limitations on the SEC: The Application of 28 U.S.C. § 2462 in SEC Proceedings
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| 03/31/2011 |
In re DVI, Inc. Securities Litigation: The Third Circuit Weighs in on the Circuit Split Pending Before the Supreme Court in Halliburton
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| 03/24/2011 |
Matrixx Initiatives, Inc. v. Siracusano: Supreme Court Rejects Bright-Line Materiality Standard
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| 03/15/2011 |
Plaintiffs’ Securities Fraud Case Against Boeing Survives, Then Collapses, Based on Reliance on Purported “Confidential Witness”
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| 02/10/2011 |
Securities Litigation and The Supreme Court: 2010 in Review and a Preview of 2011
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| 01/31/2011 |
“Control Person” Claim for Employee’s “Outside” Securities Transaction is Reinstated by Texas Appeals Court
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| 12/21/2010 |
Horizontal Cooperation Agreements Between Competitors: Key Features of the Revised EC Guidelines
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| 11/30/2010 |
Insurance Coverage for Insider Trading Claims
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| 10/28/2010 |
Law360 Case Study: Versata And Trilogy V. Selectica
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| 10/27/2010 |
Kit Addleman in Reuters.com: Law empowers SEC to go after more US market players
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| 10/06/2010 |
Delaware Supreme Court Upholds “NOL” Poison Pill
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| 09/07/2010 |
SEC Warns Credit Rating Agencies of Increased Fraud Scrutiny
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| 06/28/2010 |
Supreme Court Limits Reach of Securities Fraud Actions Against Foreign Companies
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| 05/07/2010 |
Supreme Court Vitiates Statute of Limitations Defense in Fraud Cases
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| 04/10/2010 |
Loss Causation at the Proof Stage 5 Years After Dura
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| 01/27/2010 |
Federal Court Issues Injunction Requiring Insurer to Advance Defense Costs to Stanford Financial Defendants for DOJ and SEC Proceedings
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| 01/25/2010 |
A New Era of Cooperation at the SEC
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| 09/01/2009 |
Supreme Court Update: Decisions from 2009
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| 08/10/2009 |
July Madness: In Maverick Case, the SEC Tosses an Air Ball
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| 07/30/2009 |
Director and Officer Fiduciary Duties in the Context of Insolvency
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| 07/20/2009 |
Weathering the Storm: Fiduciary Duties of Officers and Directors in Troubled Company Situations
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| 05/27/2009 |
Fraud Enforcement and Recovery Act Expands Liability Under the False Claims Act and Criminal Fraud Provisions
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| 05/22/2009 |
Haynes and Boone Represents Victorious Directors in Texas Supreme Court Ruling on Shareholder Derivative Suits and Demand Letters
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| 02/02/2009 |
Protecting the Attorney-Client Privilege for In-House Counsel with Dual Legal and Business Roles
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| 12/26/2008 |
Assessing Your Public Company’s Web Site, © Bloomberg Finance L.P. 2008. Originally published by Bloomberg Finance LP. Reprinted by permission.
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| 11/20/2008 |
SEC Issues Proposed Roadmap For International Financial Reporting Standards (IFRS): What In-House Counsel Should Know Now
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| 10/01/2008 |
What is IFRS and What Does It Mean for In-House Counsel?, CorporateCounsel.net
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| 07/01/2008 |
Precarious Presumption: Class Reliance in Uniform Misrepresentations Cases, Class Action Reports, Volume 29, Number 4, July-August 2008
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| 03/05/2008 |
Criminal Enforcement of the U.S. Securities Laws
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| 06/16/2006 |
Stock Option Backdating--How Big Are The Problems And What Should You Do?
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