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Securities Litigation: Recent Supreme Court Decisions and Future Trends

Posted by Peter Atkins, Skadden, Arps, Slate, Meagher & Flom LLP, on Wednesday, February 15, 2012 Editor's Note: Peter Atkins is a partner of corporate and securities law matters at Skadden, Arps,...

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Dutch Court Decision Impacts Global Securities Class Actions

Posted by Scott Hirst, co-editor, HLS Forum on Corporate Governance and Financial Regulation, on Saturday, February 18, 2012 Editor's Note: The following post comes to us from Todd G. Cosenza, partner...

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Establishing a “Domestic Transaction” in Securities under Morrison

Posted by Brad S. Karp, Paul, Weiss, Rifkind, Wharton & Garrison LLP, on Thursday, April 26, 2012 Editor's Note: Brad Karp is chairman and partner at Paul, Weiss, Rifkind, Wharton & Garrison...

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Limits on Extraterritorial Reach of State Law

Posted by George T. Conway III, Wachtell, Lipton, Rosen & Katz, on Tuesday, May 1, 2012 Editor's Note: George Conway is partner in the Litigation Department at Wachtell, Lipton, Rosen & Katz....

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Defrauded Investors Deserve Their Day in Court

Editor’s Note: Luis A. Aguilar is a Commissioner at the U.S. Securities and Exchange Commission. This post is based on a statement from Commissioner Aguilar; the full statement, including footnotes, is...

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Recent Trends in US Securities Class Actions against Non-US Companies

Editor’s Note: Elaine Buckberg is Senior Vice President at NERA Economic Consulting. This post is based on a NERA publication by Robert Patton; the full publication, including footnotes, is available...

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2012 Year-End Securities Litigation Update

Posted by Robert F. Serio, Gibson, Dunn & Crutcher LLP, on Thursday, February 7, 2013 Editor's Note: Robert F. Serio is head partner in the New York office of Gibson, Dunn & Crutcher and...

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Court Curtails Territorial Reach of Criminal Liability Under Section 10(b)

Posted by Noam Noked, co-editor, HLS Forum on Corporate Governance and Financial Regulation, on Wednesday, September 11, 2013 Editor's Note: The following post comes to us from Jonathan R. Tuttle,...

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Important Decisions regarding Morrison and Extraterritoriality

Posted by Kobi Kastiel, Co-editor, HLS Forum on Corporate Governance and Financial Regulation, on Friday, May 16, 2014 Editor's Note: The following post comes to us from Lawrence Portnoy, partner in...

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Court Holds That US Bankruptcy Code Does Not Permit Recovery of...

Posted by George T. Conway III, Wachtell, Lipton, Rosen & Katz, on Tuesday, July 15, 2014 Editor's Note: George T. Conway III is partner in the Litigation Department at Wachtell, Lipton, Rosen...

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Back-to-Back Court of Appeals Decisions Apply Morrison

Posted by John F. Savarese and George T. Conway III, Wachtell, Lipton, Rosen & Katz, on Tuesday, August 19, 2014 Editor's Note: John F. Savarese and George Conway are partners in the Litigation...

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So Much for Bright-Line Tests on Extraterritorial Reach of US Securities Laws?

Posted by Yaron Nili, Co-editor, HLS Forum on Corporate Governance and Financial Regulation, on Tuesday, September 2, 2014 Editor's Note: The following post comes to us from Jonathan E. Richman,...

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Morrison at Four: A Survey of Its Impact on Securities Litigation

Posted by George T. Conway III, Wachtell, Lipton, Rosen & Katz, on Wednesday, October 29, 2014 Editor's Note: George Conway is partner in the Litigation Department at Wachtell, Lipton, Rosen &...

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Do Institutional Investors Value the 10b-5 Private Right of Action?

Posted by June Rhee, Co-editor, HLS Forum on Corporate Governance and Financial Regulation, on Wednesday, January 28, 2015 Editor's Note: The following post comes to us from Robert Bartlett, Professor...

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2017 Year in Review: Securities Litigation and Regulation

Posted by Jason Halper, Kyle DeYoung and Adam Magid, Cadwalader, Wickersham and Taft LLP, on Tuesday, January 16, 2018 Editor's Note: Jason Halper is partner and Chair of the Global Litigation Group,...

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Testing the Limits of Morrison

Posted by Veronica E. Callahan, Vincent A. Sama, and Jennifer Wieboldt, Arnold & Porter Kaye Scholer LLP, on Wednesday, July 11, 2018 Editor's Note: Veronica E. Callahan and Vincent A. Sama are...

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Circuit Split on Morrison Application

Posted by Jared Gerber, Leslie Silverman, Roger Cooper, and Adam Fleisher, Cleary Gottlieb Steen & Hamilton LLP, on Sunday, August 12, 2018 Editor's Note: Jared Gerber, Roger Cooper, and Adam...

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The SEC and Foreign Private Issuers: A Path to Optimal Public Enforcement

Posted by Yuliya Guseva (Rutgers), on Sunday, September 30, 2018 Editor's Note: Yuliya Guseva is Associate Professor of Law at Rutgers Law School. This post is based on her recent article, recently...

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The Myth of Morrison: Securities Fraud Litigation Against Foreign Issuers

Posted by Steven Davidoff Solomon (UC Berkeley School of Law), on Wednesday, November 21, 2018 Editor's Note: Steven Davidoff Solomon is Professor of Law at UC Berkeley School of Law. This post is...

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Morrison’s Impact on Institutional Investors

Posted by Noam Noked, co-editor, HLS Forum on Corporate Governance and Financial Regulation, on Tuesday, February 28, 2012 Editor's Note: The following post comes to us from Jeffrey P. Mahoney, General...

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