Publications Dec 31, 2014 Insurance Law Alert, December 2014 Dec 29, 2014 FINRA Proposes Rule Changes to Address Research Analyst Conflicts of Interest Dec 23, 2014 Delaware Supreme Court Reaffirms Passive Market Check May Satisfy Director Revlon Duties and Provides Guidance on “Blue Pencil” Injunctions Modifying Merger Agreements Dec 19, 2014 Volcker Rule Update: Extension Granted for Legacy Funds Dec 19, 2014 Delaware Decisions Addressing Financial Advisor Liability in the Rural Metro Case Dec 19, 2014 Delaware and New York Decisions Addressing the Standard of Review for Controlling Stockholder Transactions Dec 19, 2014 Delaware Decisions on Forum Selection and Fee-Shifting Bylaws Dec 19, 2014 Circuit Court Decisions Concerning FINRA Dec 19, 2014 Circuit Court Decisions Discussing the Duty to Disclose Under Section 10(b) Dec 19, 2014 Circuit Court Decisions Addressing Section 10(b)’s Loss Causation Requirement Dec 19, 2014 Circuit Court Decisions Concerning Government Enforcement Actions and Insider Trading Prosecutions Actions Dec 19, 2014 Circuit Court Decisions Applying the Supreme Court’s Ruling in Morrison Dec 19, 2014 Fifth Third: Supreme Court Clarifies the Pleading Standards for ERISA Breach of Duty of Prudence Claims Against ESOP Fiduciaries Dec 19, 2014 Troice: Supreme Court Addresses SLUSA’s “in Connection With” Requirement Dec 19, 2014 Halliburton: Supreme Court Adopts a Middle Ground in the Challenge to Basic’s Fraud-on-the-Market Presumption Dec 19, 2014 Dart Cherokee: Supreme Court Holds That Defendants Must Only Plausibly Allege the Amount in Controversy for Removal Under 28 U.S.C. § 1446(a) Dec 19, 2014 A Thaw in Cuban Relations Portends Important Regulatory Changes Dec 17, 2014 New York Court of Appeals Roundup: Bankruptcy Case Involving Rent-Stabilized Lease Dec 11, 2014 Corporate Litigation: Pleading Corporate Scienter: Circuits Split on Standard Dec 11, 2014 Getting The Deal Through: Market Intelligence – Mergers and Acquisitions 2014 ...151152153154155156157158159160...