New York Law Journal | Analysis
By Robert J. Anello and Richard F. Albert | October 9, 2019
In their White-Collar Crime column, Robert J. Anello and Richard F. Albert discuss the change recently announced by SEC Chairman Jay Clayton regarding how the SEC will consider requests for waivers of certain serious collateral consequences that would otherwise result from settlement of an SEC enforcement action.
By Zach Schlein | October 7, 2019
Rory Jurman represented American Alternative Insurance Corp., the insurer of the Kopelowitz Ostrow law firm, in negotiations to resolve claims against the firm and two of its attorneys by a bankrupt lending firm.
By Charles Toutant | September 30, 2019
The lawsuit was dismissed without prejudice over the plaintiff's failure to make a presuit demand.
By Jenna Greene | September 30, 2019
Skadden litigators racked up four wins in two days, knocking out securities class actions in New York and California, as well as shutting down an unlikely claim against a South Korean bank.
By MP McQueen | September 27, 2019
Without admitting or denying the SEC's allegations, Mylan, headquartered in the Netherlands with U.S. operations based in Canonsburg, Pennsylvania, agreed to the entry of a final judgment ordering a $30 million penalty and permanently enjoining it from violating sections of the Securities Act of 1933 and Securitiies Exchange Act of 1934.
By ALM Staff | September 27, 2019
Labaton Sucharow talks about what issues landed the firm on the National Law Journal's 2019 Elite Trial Lawyers list.
By ALM Staff | September 27, 2019
Bernstein Litowitz Berger & Grossmann talks about what issues landed the firm on the National Law Journal's 2019 Elite Trial Lawyers list.
By Charles Toutant | September 26, 2019
Judge Thomas Hardiman sent the case back to the district court for a determination on whether a bar on punitive injunctions applies to the remedies sought by the SEC.
By Ross Todd | September 26, 2019
U.S. District Judge Edward Davila found that only one of 36 statements identified by the plaintiffs as misleading Facebook investors was actionable. Even in that case he found plaintiffs hadn't demonstrated the intent or deliberate recklessness needed to support a securities fraud claim.
Corporate Counsel | Expert Opinion
By Michael J. Rivera and Abby Yi | September 26, 2019
Counsel should be on the lookout for potential changes to the rules governing the stock trading plans corporate executives routinely rely on to trade company stock, or 10b5-1 plans.
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