March 19, 2010 TARP Fraud: A New Federal Crime Is Born?
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October 2009 The Future of Secondary Actor Liability Under Rule 10(B)-5 After Stoneridge Investment Partners, LLC v. Scientific-Atlanta, Inc.
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September 2009 The Special Inspector General for TARP: The New Enforcer and the Next Wave of Investigations
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August 4, 2009 Second Circuit Affirms Dismissal of Securities Fraud Claims Against Investment Adviser That Failed to Detect a Ponzi Scheme
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July 2009 TARP Enforcement: Latest Developments And Insights
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May 19, 2009 A Primer on Securities Litigation and Enforcement in an Economic Crisis
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May 19, 2009 The Special Inspector General For TARP: The New Enforcer and The Next Wave of Investigations
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July 8, 2008 Whither 'Stoneridge v. Scientific-Atlanta'? Early Results
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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
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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
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February 5, 2008 Lucent Settles FCPA Claims Related to Travel and Entertainment Expenses
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January 22, 2008 U.S. Supreme Court Rejects Argument that “Scheme Liability” Theory Still Applies to Financial Institutions and Professionals
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June 25, 2007 Supreme Court Heightens Scienter Pleading Standard in Securities Fraud Cases
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