| Date |
Title |
|
Fall 2001
|
The PSLRA and Obtaining Early Proof of Claims Information in Securities Class Actions |
|
April 15, 2002
|
Halting Discovery in Securities Cases |
|
August 2, 2002
|
Wall Street Has E-Mail Problems |
|
March 3, 2003
|
Target Shareholders Try to Establish Rights After Mergers Fail |
|
March 2004
|
Uncharted Waters: Kramer Levin's Gary Naftalis on Corporate Internal Investigations |
|
March 25, 2005
|
Lost Causation |
|
April 20, 2005
|
Supreme Court Clarifies Standard for Pleading and Proving Loss Causation in Private Actions for Securities Fraud — Dura Pharmaceuticals, Inc. v. Broudo |
|
August 10, 2005
|
Kramer Levin Disney Victory Makes the News |
|
January 5, 2006
|
Naftalis Quoted in Washington Post Article on Accounting Fraud Penalties |
|
January 6, 2006
|
SEC Statement Regarding Financial Penalties |
|
January 27, 2006
|
SEC Announces New Guidelines for Fining Corporations |
|
March 30, 2006
|
Schoeman Profiled in New York Law Journal on Clarence Norman Case |
|
December 18, 2006
|
Litigation Alert: Second Circuit Sets Stringent New Standards for Certifying Class Actions in Securities Fraud and Other Cases — In re Initial Public Offering Securities Litigation |
|
January 2007
|
Corporate Governance Alert: New York City Bar Association’s Task Force on The Lawyer’s Role in Corporate Governance Releases Extensive Report |
|
July 2, 2008
|
Securities Alert: What Is Your Position? Swaps, Groups and Equity Ownership After CSX Corporation v. The Children's Investment Fund |
|
July 7. 2008
|
Using Confidential Informants to Meet the PSLRA's Pleading Standards |
|
November 1, 2008
|
Berke Comments on Expected Litigation Crush Connected to the Financial Meltdown in The American Lawyer |
|
November 8, 2008
|
Addition of Former Assistant U.S. Attorney Michael Martinez Noted in Am Law Daily |
|
November 10, 2008
|
Securities Litigation Alert: The Second Circuit Court of Appeals Declines the Invitation to Establish a Bright-Line Rule Barring Foreign-Cubed Securities Lawsuits |
|
December 2008
|
Securities Litigation Alert: Ninth Circuit Holds That Representations in a Merger Agreement May Support Securities Fraud Action When That Agreement Is Filed As an Exhibit to Securities Filings; Discusses Possible "Collective Scienter" Argument |
|
January 21, 2009
|
Securities Litigation Alert: First Circuit Holds That Underwriters May Face Liability Under Rule 10b-5 For False Statements In Issuer’s Prospectus; Discusses Expansive View Of Rule 17(a)(2) Liability |
|
February 9, 2009
|
Securities Litigation Alert: Third Circuit Holds That Under SLUSA the Presence of Some Preempted State Claims Does Not Require Dismissal of an Entire Class Action - In re Lord Abbett Mutual Funds Fee Litigation |
|
February 10, 2009
|
Securities Enforcement Alert: SEC Restores Corporate Penalty Negotiation Powers to Staff |
|
June 1, 2009
|
Securities Litigation Alert: Third Circuit Reiterates Standards to Evaluate the Use of Confidential Informants Post-Tellabs; Court Finds Motive and Opportunity No Longer Sufficient in Alleging Scienter |
|
June 5, 2009
|
Securities Litigation Alert: Fourth Circuit Holds That Investment Adviser and Public Company Parent May Face Federal Securities Law Liability for False Statements in Mutual Fund’s Prospectus; Discusses Test for Attribution Requirement |
|
July 15, 2009
|
Securities Litigation Alert: Eleventh Circuit Affirms Bar Order, in Connection with Partial Settlement of Class Action, Extinguishing Non-Settling Former CEO Defendant's Contractual Rights to Advancement of Defense Costs and Indemnification |
|
August 12, 2009
|
Securities Enforcement Alert: Texas District Court Dismisses Insider Trading Charges Against Mark Cuban and Holds That Misappropriation Theory Requires Duty Not to Trade |
|
October 1, 2009
|
Texas District Court Dismisses Insider Trading Charges Against Mark Cuban and Holds that Misappropriation Theory Requires Duty Not to Trade |
|
December 8, 2009
|
Securities Litigation Update: Supreme Court Grants Certiorari in “Foreign-Cubed” Securities Case |
|
January 19, 2010
|
Securities and White Collar Litigation Alert: New SEC Policy Initiative: Incentivizing Cooperation by Individuals |
|
March 26, 2010
|
Securities Litigation Alert: First Circuit En Banc Rejects 10b-5 Theory of Primary Liability for Securities Professionals Based on "Implied Statements" |
|
June 2, 2010
|
Securities Litigation Alert: Second Circuit Holds That PSLRA’s Safe Harbor Provisions Shield American Express from Liability |
|
July 7, 2010
|
Securities Litigation Alert: Supreme Court Closes Door to Foreign-Cubed Securities Lawsuits in U.S. Courts |
|
July 15, 2010
|
Securities Litigation Alert: Supreme Court Grants Certiorari in Mutual Fund Market Timing Case |
|
July 19, 2010
|
Securities and White Collar Litigation Alert: Dodd-Frank's Impact on Securities Litigation and Enforcement |
|
September 29, 2010
|
Securities Enforcement Alert: Fifth Circuit Reinstates Insider Trading Claims Against Mark Cuban |
|
October 2010
|
The Metropolitan Corporate Counsel: Dodd-Frank's Impact on Securities Enforcement and Litigation |
|
November 8, 2010
|
Securities & White Collar Litigation Alert: SEC Proposes Rules To Implement Dodd-Frank Whistleblower Program |
|
December 2010
|
The Metropolitan Corporate Counsel: SEC Proposes Rules to Implement Dodd-Frank Whistleblower Program |
|
June 6, 2011
|
Securities Enforcement & White Collar Litigation Alert: SEC Adopts Final Rule Implementing Dodd-Frank Whistleblower Program |
|
June 10, 2011
|
Securities Litigation Alert: Supreme Court Holds That, at Class Certification Stage, Proof of Loss Causation Not Required to Establish “Fraud on the Market” Reliance |
|
June 14, 2011
|
Securities Litigation Alert: Supreme Court Narrows Scope of Primary Liability in Federal Securities Fraud Actions |
|
July 2011
|
The Metropolitan Corporate Counsel: SEC Adopts Dodd-Frank Whistleblower Rule |
|
July 7, 2011
|
Securities Litigation Alert: Supreme Court to Consider Statute of Limitations for Short-Swing Profit Claims Under Section 16(b) of the Exchange Act |
|
July 12, 2011
|
New York Law Journal: Janus Capital and Underwriter Liability Under Section 10(b) and Rule 10b-5 |
|
March 16, 2012
|
Securities Litigation Alert: Second Circuit Interprets Limitations on Territorial Reach of Section 10(b) and Rule 10b-5 under Morrison |
|
April 10, 2012
|
Securities Litigation Alert: Supreme Court Rejects Rule That Statute of Limitations in Short Swing Profit Actions Remains Tolled Until the Filing of Forms 4 |
|
June 15, 2012
|
Securities Litigation Alert: Supreme Court Grants Certiorari to Address Question Whether Plaintiffs Must Prove Materiality Prior to Class Certification in Federal Securities Fraud Actions |
|
August 16, 2012
|
Securities Litigation Alert: Second Circuit Addresses Standard for Pleading Loss Causation under Dura Pharmaceuticals |
|
October 1, 2012
|
The Metropolitan Corporate Counsel: Supreme Court to Address Standards for Class Certification in Securities Fraud Actions and Contours of the “Fraud on the Market” Doctrine |
|
March 5, 2013
|
Securities Litigation Alert: Supreme Court Holds That the Statute of Limitations on Civil Penalty Actions Is Not Subject to a Discovery Rule |
|
March 12, 2013
|
Securities Litigation Alert: Supreme Court Addresses Standards for Class Certification in Federal Securities Fraud Actions |
|
April 2013
|
FundsTalk: April 2013 |