By Janet Levaux | April 5, 2018
Four investors say the firm misled them about fees and about Jones' 'preference for investing in proprietary funds.'
By Kristen Rasmussen | April 4, 2018
The estate of Michael Lorig, a JPMorgan Chase & Co. broker, has sued the banking giant for wrongful death, claiming that the man took his life after he was forced to retire, exacerbating his lifelong struggle with depression.
By Jenna Greene | April 4, 2018
What's (still) wrong with an antitrust suit targeting restaurants that include the tip in the price of the food--Plus Skadden securities litigators score again and Schulte Roth wins one for Reed Smith.
By Andrew Denney | March 29, 2018
The government alleges the borrowers who took out the loans were less creditworthy than Barclays led investors and rating agencies to believe, and that more than half of the loans defaulted.
By C. Ryan Barber | March 23, 2018
Gibson, Dunn & Crutcher partner Eugene Scalia took out a truly monster-sized regulation: the Department of Labor's fiduciary rule.
By Josefa Velasquez | March 19, 2018
On Wednesday, the state's Court of Appeals will hear oral arguments in the case 'People v. Credit Suisse Securities', which stems from a 2012 lawsuit Schneiderman filed charging that the Swiss international bank misrepresented the risks of residential mortgage-backed securities to investors in 2006 and 2007. Those securities helped spur the 2008 financial crisis.
By Andrew Denney | March 16, 2018
Willkie Farr & Gallagher partner Todd Cosenza steered a legacy multibillion dollar Lehman Brothers case through years of litigation, coming out on top after a grueling bench trial.
By Ben Hancock | March 15, 2018
A hearing over who should take the reins in a ground-breaking securities class action descended into a back-and-forth over missteps by one group of attorneys.
By Melanie Waddell | March 15, 2018
The U.S. Court of Appeals for the Fifth Circuit on Thursday divided 2-1 in striking down the Obama-era U.S. Labor Department's fiduciary rule. The regulations, targeting conflicts of interest in the retirement-savings industry, expanded the definition of "fiduciary." Business groups challenged the rule.
The Legal Intelligencer | News
By Lizzy McLellan | March 15, 2018
Former Morgan Lewis client Towers Watson Delaware argues that the firm cannot deny its allegations in a $30 million lawsuit.
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