We use cookies to customise content for your subscription and for analytics.
If you continue to browse Lexology, we will assume that you are happy to receive all our cookies. For further information please read our Cookie Policy.

Search results

Order by: most recent most popular relevance



Results: 1-10 of 15,280

Omnicare, Inc. v. Laborers District Council Construction Industry Pension Fund: liability for opinions in registration statements
  • Sullivan & Cromwell LLP
  • USA
  • March 25 2015

Yesterday in Omnicare, Inc. v. Laborers District Council Construction Industry Pension Fund, No. 13-435, the U.S. Supreme Court addressed the


Omnicare opinion expands liability for expressions of opinion under section 11
  • Sutherland Asbill & Brennan LLP
  • USA
  • March 25 2015

The Supreme Court, in Omnicare, Inc. v. Laborers District Council Construction Industry Pension Fund, 575 U.S. ___ (March 24, 2015), expanded the


Plaintiff investors must establish that opinions in SEC registration statements were known to be false at the time they were issued
  • Wilson Elser
  • USA
  • March 25 2015

On March 24, 2015, in Omnicare, Inc. v. Laborers' District Council Construction Industry Pension Fund, the U.S. Supreme Court, in a unanimous


Financial services update Vol. 10, Issue 11
  • Winston & Strawn LLP
  • European Union, USA
  • March 23 2015

This edition focuses on corporate governance and its Related Issues. In particular, academics from the School of Accountancy at Singapore Management


U.S. Supreme Court clarifies when opinions can be actionable under federal securities laws
  • Clifford Chance LLP
  • USA
  • March 25 2015

Court finds the Securities Act of 1933 is not "an invitation to Monday morning quarterback an issuer's opinions" but leaves open the possibility of


Supreme Court clarifies standard for holding issuers liable under the Securities Act of 1933
  • Bracewell LLP
  • USA
  • March 25 2015

In a highly-watched securities law decision, the United States Supreme Court yesterday ruled unanimously that opinion statements in public securities


Layne Christensen settles SEC FCPA probe
  • Drinker Biddle & Reath LLP
  • USA
  • October 31 2014

Consenting to a October 27, 2014, Cease and Desist Order, the global water management, construction and drilling company Layne Christensen Company


SEC charges three investment advisory firms with false filings to avoid State registration
  • Ice Miller LLP
  • USA
  • February 17 2015

On February 4, 2015, the Securities and Exchange Commission charged three investment advisory firms with making false representations and statements


SEC temporary asset freeze not barred by automatic stay provisions
  • Duane Morris LLP
  • USA
  • March 20 2015

In an effort to protect the property of a bankruptcy estate, Section 362(a) of the U.S. Bankruptcy Code imposes an automatic stay on most


Financial services update vol. 10, issue 14
  • Winston & Strawn LLP
  • USA
  • April 13 2015

In the field of financial services regulation, you may be forgiven for not having recognized the stimulating connections here. The Federal Reserve's