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647 results found


Hall & Wilcox | Australia | 17 Aug 2016

PPSA - Curing a defective registration

The importance of security holders accurately registering their interest on the Personal Property Securities Register (PPSR) to create a valid


Mintz | USA | 29 Jul 2016

Recent Developments in Petrobras Class Action Could Interfere with Trial Date

There have been several recent and interesting updates to the In re Petrobras Securities Litigation, 14-cv-9662 (S.D.N.Y.) that we have discussed


HopgoodGanim | Australia | 27 Jul 2016

ASX listing rule changes: More fine-tuning required

In our previous alerts (16 May 2016 and 25 May 2016), we examined the proposed changes to the Listing Rules which were scheduled to be in place by 1


Bracewell LLP | USA | 5 Jul 2016

District Court Denies Kraft’s Motion to Dismiss Claims of Market Manipulation

On June 27, 2016, a federal judge denied Kraft Foods Group Inc.’s (“Kraft”) motion to dismiss a proposed class action against the company for


Orrick, Herrington & Sutcliffe LLP | USA | 14 Jan 2013

Southern District of New York dismisses investors’ claims against Deutsche Bank

On January 4, Judge Jed S. Rakoff of the Southern District of New York issued a memorandum order explaining the bases for his February 6, 2012


Dorsey & Whitney LLP | USA | 1 Jun 2012

This week in securities litigation (week ending June 1, 2012)

SEC enforcement this holiday shortened week dismissed the remaining defendants in an insider trading case centered on an international take over which had been filed largely on the trading and within days of the announcement.


Winston & Strawn LLP | USA | 14 Nov 2011

SLUSA bars lawsuit against closed-end fund

On November 10th, the United States Court of Appeals for the Seventh Circuit affirmed the dismissal of a lawsuit brought against a closed-end investment fund.


Orrick, Herrington & Sutcliffe LLP | USA | 31 Oct 2011

Court grants, in large part, motions to dismiss in Allstate's lawsuit against Countrywide

On October 21, 2011, Judge Pfaelzer of the U.S. District Court for the Central District of California issued an order largely granting motions by Countrywide, various of its officers and directors, and Bank of America to dismiss various federal securities and state law claims asserted by Allstate arising out of Allstate's investments in 25 Countrywide RMBS.


WeirFoulds LLP | Canada | 11 Oct 2011

Amendments to Executive Compensation Disclosure Requirements

The Canadian Securities Administrators are adopting amendments to Form 51-102F6 - Statement of Executive Compensation, which will come into force on October 31, 2011, and apply to financial years ending on or after October 31, 2011.


Wiley Rein LLP | USA | 20 Sep 2011

No excess coverage under Ohio law when insured settles with primary carrier for less than primary limits

The United States District Court for the Northern District of Ohio has held that an excess carrier’s policy was not triggered when the insured consummated a less-than-limits settlement with the primary carrier.

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