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March 19, 2010
TARP Fraud: A New Federal Crime Is Born?

October 2009
The Future of Secondary Actor Liability Under Rule 10(B)-5 After Stoneridge Investment Partners, LLC v. Scientific-Atlanta, Inc.

September 2009
The Special Inspector General for TARP: The New Enforcer and the Next Wave of Investigations

August 4, 2009
Second Circuit Affirms Dismissal of Securities Fraud Claims Against Investment Adviser That Failed to Detect a Ponzi Scheme

July 2009
TARP Enforcement: Latest Developments And Insights

May 19, 2009
A Primer on Securities Litigation and Enforcement in an Economic Crisis

May 19, 2009
The Special Inspector General For TARP: The New Enforcer and The Next Wave of Investigations

July 8, 2008
Whither 'Stoneridge v. Scientific-Atlanta'? Early Results

June 27, 2008
DOJ Releases Opinion Addressing Acquirers’ FCPA Liability for Conduct of Acquiree Where The Ability To Conduct Pre-Closing Due Diligence Is Restricted

May 2, 2008
Seventh Circuit, in a Case Of First Impression Under Stoneridge, Holds That Employee Who Participated in Fraudulent Scheme but Did Not Personally Prepare or Disseminate False Financial Statements is Shielded From Securities Fraud Liability

February 5, 2008
Lucent Settles FCPA Claims Related to Travel and Entertainment Expenses

January 22, 2008
U.S. Supreme Court Rejects Argument that “Scheme Liability” Theory Still Applies to Financial Institutions and Professionals

June 25, 2007
Supreme Court Heightens Scienter Pleading Standard in Securities Fraud Cases