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Cooperation with Securities Fraud

Cooperation with Securities Fraud
Author: Ronald J. Colombo
Publisher:
Total Pages: 0
Release: 2009
Genre:
ISBN:

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Secondary actors, such as lawyers, accountants, and bankers, are oftentimes critical players in securities fraud. The important question of their liability to private plaintiffs has been, and remains, one of considerable confusion. In Stoneridge Inv. Partners LLC v. Scientific-Atlanta, Inc., the U.S. Supreme Court could have, but failed to, dispel some of this confusion. Contrary to the common understanding, Stoneridge did not foreclose liability on the part of secondary actors who manage to remain anonymous participants in securities fraud. Read carefully, Stoneridge instead held that proximity to fraud should drive the liability determination. Although "proximity" is itself an indefinite concept, we are not without tools in deciphering it. For we have at our disposal a well-developed, long-tested method of analyzing proximity with an eye toward the just imposition of culpability: moral theology's "principles of cooperation." By turning to these principles, we have at our fingertips a ready-made set of factors to consider in assessing whether one's conduct should be deemed proximate versus remote to another's fraud. The principles of cooperation also provide a framework around which we can organize securities fraud jurisprudence in general. For the insights gleaned from the principles regarding moral culpability in many respects parallel the conclusions reached by courts and commentators construing liability under the securities laws. Perhaps, in addition to the assistance it provides us in resolving the difficult issue of proximity, this framework could serve as a useful aid in resolving other, and future, securities fraud questions.


The International Securities Enforcement Cooperation Act of 1988

The International Securities Enforcement Cooperation Act of 1988
Author: United States. Congress. Senate. Committee on Banking, Housing, and Urban Affairs. Subcommittee on Securities
Publisher:
Total Pages: 92
Release: 1988
Genre: Judicial assistance
ISBN:

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Best Practices for Securities Litigation

Best Practices for Securities Litigation
Author: Aspatore Books Staff
Publisher:
Total Pages: 335
Release: 2007
Genre: Law
ISBN: 9781596226999

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Best Practices for Securities Litigation is an authoritative, insider's perspective on the key strategies for representing clients in class action lawsuits, ?derivative? lawsuits, and investigations and proceedings by regulatory organizations. Featuring partners and chairs from some of nation's leading firms, these experts guide the reader through intricacies and evolution of securities law, detailing the effects of the Securities Act of 1933, the Securities Exchange Act of 1934, the Insider Trading and Securities Fraud Enforcement Act of 1988, the Private Securities Litigation Reform Act of 1995, the Securities Litigation Uniform Standards Act of 1998, and the Sarbanes-Oxley Act of 2002. The authors give tips on working with governmental and self-regulatory organizations, including the Securities and Exchange Commission, the Commodities Future Trading Commission, and the National Association of Securities Dealers. Additionally, these leaders reveal their strategies for understanding client's business objectives, assessing securities claims, and advising clients on reducing their exposure to securities litigation. The different niches represented and the breadth of perspectives presented enable readers to get inside some of the great legal minds of today, as these experienced lawyers offer up their thoughts around the keys to success within this increasingly-enforced area of law. Inside the Minds provides readers with proven business intelligence from C-Level executives (Chairman, CEO, CFO, CMO, Partner) from the world's most respected companies nationwide, rather than third-party accounts from unknown authors and analysts. Each chapter is comparable to an essay/thought leadership pieceand is a future-oriented look at where an industry, profession, or topic is headed and the most important issues for the future. Through an exhaustive selection process, each author was hand-picked by the Inside the Minds editorial board to author a chapter for this book. Chapters Include: 1. Richard L. Baum, Partner, Perkins Coie LLP - "Helping Companies Avert Financial Disaster" 2. Michael K. Coran, Partner, Klehr, Harrison, Harvey, Branzburg & Ellers - "The Costs and Hazards of Securities Litigation" 3. Jordan D. Hershman, Co-Chairman, Securities Litigation Practice Group, Bingham McCutchen LLP - "Some Reflections on Best Practices for Securities Litigation" 4. Jordan Eth, Partner, Morrison & Foerster LLP - "Staying on Track Down an Ever-Changing Path" 5. Gregory G. Ballard, Partner, Cadwalader, Wickersham & Taft LLP - "Getting Out of Trouble and Avoiding It in the Future" 6. Frances Floriano Goins, Partner, Ulmer & Berne LLP - "Avoiding Common Roadblocks in Securities Litigation" 7. Richard D. Bernstein, Co-Head, Complex Commercial Litigation Group, Sidley Austin LLP - "Good Lawyering and Securities Cases" 8. Timothy W. Mountz, Partner, Baker Botts LLP - "Keeping an Eye on the Bottom Line" This book includes the following appendix documents: Appendix A: Sample Case: Securities Class Action Decision on Motion to Dismiss Appendix B: Sample Case: Shareholders Derivative Class Action Decision on Motion to Dismiss Appendix C: Sample Settlement Agreement Appendix D: Sample Complaint Appendix E: Report and Recommendation: Guerra v. Teradyne Inc. Appendix F: Memorandum and Order: Carney v. Cambridge Technology Partners Appendix G: Memorandum and Order: SeaChange International Appendix H: Memorandum and Order on Defendants? Motion to Dismiss: Wilson V. Microfinancial Inc. Appendix I: Guidelines for Electronic Discovery Obligations Appendix J: Brief of Amici Curiae


Securities Fraud

Securities Fraud
Author: Louis L. Straney
Publisher: John Wiley & Sons
Total Pages: 210
Release: 2010-11-09
Genre: Business & Economics
ISBN: 0470601574

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The first complete, expert guide to securities and investment fraud Filled with expert guidance for detection and prevention of all kinds of securities fraud and investment misconduct, Securities Fraud helps you identify red flags of fraud and offers practical ways to detect and prevent it. Written by a Wall Street professional with three decades of experience spanning the most critical period of our financial markets This book challenges classic fraud theories, describing how to dismantle information silos that permit fraudsters to conceal their activities. Begins with an overview of the evolution of securities regulation and the impact of securities fraud Offers real cases and examples which illustrate recurring themes and red flags Provides the first guide of its kind to offer a complete look at the various kinds of securities fraud and investment misconduct Securities Fraud is the essential guide you need for a bird's-eye view of fraud that may be taking place even now within your own organization and with your portfolio.


Securities Exchange Act of 1934 Release

Securities Exchange Act of 1934 Release
Author: United States. Securities and Exchange Commission
Publisher:
Total Pages: 868
Release: 1962
Genre: Securities
ISBN:

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