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Similar to class actions generally, exploring ethics issues in securities class action litigation (specifically fee-splitting), and how that affects settlement value for plaintiff investors
By Marianna Wharry | November 15, 2023
This complaint was first surfaced by Law.com Radar.
3 minute read
By John Coffee | November 15, 2023
On Sept. 29, 2023, the U.S. Supreme Court granted certiorari in 'Macquaire Infrastructure v. Moab Partners' to consider whether the failure to make disclosures required under Item 303 of the SEC's Regulation S-K can support an action for securities fraud under Rule 10b-5.
9 minute read
By Cassandre Coyer | November 13, 2023
Regulators from Ireland's Data Protection Commission and the Securities and Exchange Commission shared takeaways from their respective departments' recent enforcement actions, during Georgetown University Law Center's annual Advanced eDiscovery Institute conference last week.
5 minute read
By Stephanie Wilkins | November 10, 2023
DISCO, along with current CFO Michael Lafair and former CEO Kiwi Camara, were named in a class action complaint filed in New York State court alleging violations of federal securities laws for misleading investors following the company's IPO. This complaint was first surfaced by Law.com Radar.
4 minute read
By William Jay, Charles Brown, Daniel Roeser, Justin D. Ward and William Evans | November 8, 2023
In a follow-up to their article published in June, the authors discuss two questions raised but not fully answered in Slack: probabilistic pleading under Section 11 of the 1933 Act and the proper construction of Section 12 of the 1933 Act.
7 minute read
By Emily Saul | November 7, 2023
The New York appeals court decision takes a different tack from a recent decision out of California.
3 minute read
By Jane Wester | November 6, 2023
A proposed class led by Moset International Company filed a consolidated amended complaint against QIWI in July 2021.
3 minute read
By Mason Lawlor | November 3, 2023
This complaint was first surfaced by Law.com Radar.
4 minute read
By Katayun I. Jaffari and Rikisha Collins | November 2, 2023
Be advised that compliance with these standards is currently voluntary globally. However, it is important for companies to be familiar with such trends in disclosure given the U.S. Securities and Exchange Commission (SEC) focus on ESG and sustainability.
8 minute read
By Maydeen Merino | October 30, 2023
Lawyers voice concern with what they call the SEC's use of enforcement actions against cryptocurrency firms based on nebulous regulations concerning non-fungible tokens.
4 minute read
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