Delaware Business Court Insider | Commentary
By Peter Flocos, Lisa Stark, Rick Giovannelli and Mark Hammes | October 31, 2018
In a landmark decision, a Delaware court has, for what is widely believed to be the first time ever, found that a material adverse effect actually occurred in an acquisition transaction, giving the buyer a right to terminate the pending transaction.
By C. Ryan Barber | October 30, 2018
Caterpillar's chief legal officer and general counsel Suzette Long recently opened up about relationships with the Justice Department. An ex-UBS compliance officer is on trial in the U.K. Plus, scroll down for Who Got the Work. Thanks for reading Compliance Hot Spots.
By Michael Holmes | October 30, 2018
Blockchain is far more than Bitcoin and presents a unique set of legal hurdles for the banking sector.What is Blockchain?Blockchain is a method…
By Amanda Bronstad | October 29, 2018
Labaton partner Christopher Keller said State Street "was and is an outlier" because, unlike in at least three other litigation matters, Texas lawyer Damon Chargois never did work on the case.
By Dan Clark | October 26, 2018
"I think the SEC is inching closer to the point where they're going to take action on companies that don't have adequate safeguards."
By Dan M. Clark | October 24, 2018
A spokesman for ExxonMobil said in an emailed statement on Wednesday that Underwood's lawsuit is “meritless” and a product of “closed-door lobbying” and “political opportunism.”
By C. Ryan Barber | October 24, 2018
Lizzie Baird, who'd been a Morgan Lewis partner since 2014, represented broker-dealers, public companies and investment advisers.
Delaware Business Court Insider | Commentary
By Edward M. McNally | October 24, 2018
The answer to the question posed in the title to this article may seem devious to you. After all, the answer must be “no” if we want anyone to serve on a corporate board of directors.
By C. Ryan Barber | October 23, 2018
The CFIUS review process is getting lots of attention right now, and we've got some observations from leading practitioners about what to expect. Plus: the latest compliance and enforcement headlines give a peek into what law firms are thinking about as the midterms fast approach. Thanks for reading Compliance Hot Spots.
New York Law Journal | Analysis
By Martin Flumenbaum and Brad S. Karp | October 23, 2018
In their Second Circuit Review column, Martin Flumenbaum and Brad S. Karp write: When a plaintiff loses her individual stake in litigation through a transaction or intervening event, should her case be dismissed as moot or may the court retain jurisdiction to consider plaintiff substitution under Rule 17(a)(3) to avoid dismissal? As it turns out, the answer is “it depends.”
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