S.E.C. v. Stoker: Court Denies Citigroup Director’s Motion to Dismiss Claims under Sections 17(a)(2) and (3) of the Securities Act of 1933 Lindsey SmithOctober 19, 2012
Turtles All the Way Down: Rulemaking, the DC Courts, and the Lack of Judicial Deference J Robert Brown Jr.October 18, 2012
In re Fannie Mae 2008 Securities Litigation: CIS, Smith, and Liberty Pursue FNMA Alone Despite a Parallel Class Action Julian EllisOctober 17, 2012
Phillips v. Scientific-Atlanta, Inc.: Proving Loss Causation in 10b-5 Violations Kirstin DvorchakOctober 16, 2012
In the Matter of New York Stock Exchange LLC, and NYSE Euronext: SEC Sanctions NYSE for Discriminatory Data Distribution Michael BurleighOctober 15, 2012