Searching Content by Jerome Fortinsky ordered by Published Date Descending.
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Key Antitrust Enforcement Trends — 2019 Antitrust Annual Report
Shearman & Sterling released its Antitrust Annual Report today. The 2019 report considers two key developments shaping worldwide antitrust enforcement – the use of antitrust as a tool to regulate
United States
30 Jul 2019
Governance & Securities Law Focus: Europe Edition, April 2018
On 16 January 2018, the ESMA published an updated version of its practical guide to the national rules across the EEA on the notification of major holdings under the Transparency Directive.
United States
20 Apr 2018
Second Circuit Accepts Controversial "Inflation-Maintenance" Theory Of Securities Fraud Liability
In so-called "price maintenance" securities fraud cases, plaintiffs argue that a misrepresentation that does not cause a stock's price to rise can nevertheless be actionable under Section 10(b) of the Exchange Act.
United States
11 Oct 2016
Eighth Circuit Holds Presumption Of Reliance Rebutted Under Halliburton II And Reverses Class Certification In Securities Action
The Best Buy action involves three alleged misrepresentations—all of which related to one another and occurred within a few hours
United States
19 Apr 2016
Securities Enforcement 2014 Mid-Year Review
While not nearly as transformative and dramatic as the first half of 2013, the first six months of 2014 was just as busy and productive.
United States
6 Aug 2014
Supreme Court To Review Second Circuit’s Decision That American Pipe Tolling Does Not Apply To The Securities Act’s Three-Year Statute Of Repose
The Supreme Court of the United States has granted certiorari in Public Employees’ Retirement System of Mississippi v. IndyMac MBS, Inc., taking up an issue that affects the management of class action securities litigation.
United States
26 Mar 2014
The Sixth Circuit Establishes A Lenient Standard For Pleading A Section 11 Claim Based On An Allegedly Misleading Opinion In A Registration Statement
The United States Court of Appeals for the Sixth Circuit recently issued an important decision regarding the requirements for stating a claim under Section 11 of the Securities Act of 1933.
United States
1 Jul 2013
PCAOB Announces Agreement With China On Production Of Audit Work Papers – A Step Forward Or Lip Service?
On May 24, 2013, the Public Company Accounting Oversight Board announced that it had signed a Memorandum of Understanding with Chinese securities regulators that would enable the PCAOB under certain circumstances to obtain audit work papers of China-based audit firms.
United States
13 Jun 2013
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