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July 08, 2004 |

S.F. Fraud Chief Flies DOJ Coop for Shearman

The head of the U.S. attorney's securities fraud unit is getting ready to return to his old law firm. Patrick Robbins, 41, told the Northern District U.S. attorney's office Wednesday that he will be leaving in September. Robbins is in talks with New York-based Shearman & Sterling, the 1,000-lawyer firm where he began his legal career 14 years ago, according to sources familiar with those talks.
3 minute read
May 31, 2001 |

Applying Heightened Pleading Requirements to Non-Fraud Cases

Since the enactment of The Private Securities Litigation Reform Act of 1995, many decisions have interpreted the new pleading requirements as they apply to the antifraud provisions of the federal securities laws and regulations. This article focuses on how the courts have applied enhanced pleading requirements to federal securities claims that are not fraud-based.
10 minute read
In Re Bear Stearns Co., Inc., 08 MDL 1963
Publication Date: 2011-01-26
Practice Area: Business Law
Industry:
Court: U.S. District Court, Southern District
Judge: District Judge Robert W. Sweet
Attorneys:
For plaintiff: Interim Co-Lead Counsel for the Securities Plaintiffs: By: David S. Preminger, Esq., Keller Rohrback LLP, New York, NY By: Lynn L. Sarko, Esq., Derek W. Loeser, Esq., Erin M. Riley, Esq., Gretchen S. Obrist, Esq., Seattle, WA By: Joseph H. Meltzer, Esq., Edward W. Ciolko, Esq., Peter H. LeVan Jr., Esq., Shannon O. Lack, Esq., Barroway Topaz Kessler Meltzer Check LLP, Radnor, PA Attorneys for Lead Securities Plaintiff State of Michigan Retirement Systems: By: Jeffrey C. Block, Esq., Patrick T. Egan, Esq., Justin Saif, Esq., Berman Devalerio, Boston, MA By: Joseph J. Tabacco, Jr., Esq., Julie J. Bai, Esq., San Francisco, CA By: Thomas A. Dubbs, Esq., James W. Johnson, Esq., Michael W. Stocker, Esq., Labaton Sucharow LLP, New York, NY Co-Lead Counsel for the Derivative Plaintiff: By: David A.P. Brower, Esq., Brower Piven, P.C., New York, NY By: Marc M. Umeda, Esq., George C. Aguilar, Esq., Shane P. Sanders, Esq., Gregory E. Del Gaizo, Esq., Robbins Umeda LLP, San Diego, CA Interim Co-Lead Counsel for the ERISA Plaintiffs: By: Joseph H. Meltzer, Esq., Edward W. Ciolko, Esq., Julie Siebert-Johnson, Esq., Peter H. LeVan Jr., Esq., Shannon O. Lack, Esq., Mark K. Gyandoh, Esq., James A. Maro, Jr., Esq., Barroway Topaz Kessler Meltzer Check LLP, Radnor, PA By: David S. Preminger, Esq., Keller Rohrback LLP, New York, NY By: Lynn L. Sarko, Esq., Derek W. Loeser, Esq., Erin M. Riley, Esq., Gretchen S. Obrist, Esq., Seattle, WA Interim Liaison Counsel for ERISA Plaintiffs: By: Milo Silberstein, Esq., Dealy & Silberstein, LLP, New York, NY
For defendant: Interim Liaison Counsel for the Securities Plaintiffs: By: Milo Silberstein, Esq., Dealy & Silberstein, LLP, New York, NY Attorneys for Defendants The Bear Stearns Companies Inc., JPMorgan Chase & Co., Michael Minikes, Kathleen Cavallo, Stephen Lacoff, and Robert Steinberg: By: Eric. S. Goldstein, Esq., Brad S. Karp, Esq., Lewis R. Clayton, Esq., Douglas M. Pravda, Esq., Paul, Weiss, Rifkind, Wharton & Garrison LLP, New York, NY By: Paul J. Ondrasik, Jr., Esq., F. Michael Kail, Esq., Steptoe & Johnson LLP, Washington, DC Attorneys for Defendant James E. Cayne: By: David S. Frankel, Esq., Kramer Levin Naftalis & Frankel LLP, New York, NY Attorneys for Defendant Alan D. Schwartz: By: Jay B. Kasner, Esq., Susan Saltzstein, Esq., Skadden, Arps, Slate, Meagher & Flom LLP, New York, NY Attorneys for Defendant Samuel L. Molinaro, Jr.: By: Michael Chepiga, Esq., William T. Russell, Jr., Esq., Simpson Thacher & Bartlett LLP, New York, NY Attorneys for Defendant Alan C. Greenberg: By: Ronald Richman, Esq., Jill L. Goldberg, Esq., Schulte Roth & Zabel LLP, New York, NY Attorneys for Defendant Warren J. Spector: By: David B. Anders, Esq., Meredith L. Turner, Esq., Wachtell, Lipton, Rosen & Katz, New York, NY Attorneys for Defendant Jeffrey Mayer: By: Richard A. Edlin, Esq., Ronald D. Lefton, Esq., Greenberg Traurig, LLP, New York, NY Attorneys for Defendants Henry S. Bienen, Carl D. Glickman, Michael Goldstein, Donald J. Harrington, Frank T. Nickell, Paul A. Novelly, Frederic V. Salerno, Vincent Tese and Wesley S. Williams, Jr.: By: Randy M. Mastro, Esq., Robert F. Serio, Esq., Gibson, Dunn & Crutcher LLP, New York, NY Attorneys for Defendant Michael Alix: By: Scott D. Corrigan, Esq., Jeffrey P. Wade, Esq., Wiggin & Dana LLP, New York, NY Attorneys for Defendant Jeffrey M. Farber: By: Michael R. Young, Esq., Antonio Yanez, Jr., Esq., Willkie Farr & Gallagher LLP, New York, NY Attorneys for Defendant Deloitte & Touche LLP: By: Max R. Shulman, Esq., Cravath, Swaine & Moore LLP, New York, NY
Case number: 08 MDL 1963

Cite as: In Re Bear Stearns Co., Inc., 08 MDL 1963, NYLJ 1202479404634, at *1 (SDNY, Decided January 9, 2011)District Judge Robert W. Sweetp class="decided

CSX Corporation v. The Children's Investment Fund Management (UK) LLP, 08-2899-cv (L)
Publication Date: 2011-07-20
Practice Area: Business Law
Industry:
Court: U.S. Court of Appeals, Second Circuit
Judge: Before: Newman, Winter, and Calabresi, C.JJ.
Attorneys:
For plaintiff: For Plaintiff-Appellant-Cross-Appellee: Rory O. Millson (Francis P. Barron & David R. Marriott, on the brief), Cravath, Swaine & Moore LLP, New York, NY.
For defendant: For Defendants-Appellees-Cross-Appellants: Christopher Landau, P.C. (Patrick F. Philbin & Theodore W. Ullyot, Kirkland & Ellis LLP, Washington, D.C.; Peter D. Doyle & Andrew M. Genser, Kirkland & Ellis LLP, New York, New York; Howard O. Godnick & Michael E. Swartz, Schulte Roth & Zabel LLP, New York, New York, on the brief), Kirkland & Ellis LLP, Washington, D.C. For Amicus Curiae Coalition of Private Investment Companies: Adam H. Offenhartz, Aric H. Wu & J. Ross Wallin, Gibson, Dunn & Crutcher LLP, New York, NY. For Amici Curiae Former SEC Commissioners and Officials and Professors: Richard M. Lorenzo, James G. Szymanski & M. Alexander Bowie II, Day Pitney LLP, New York, NY. For Amici Curiae International Swaps and Derivatives Association, Inc., and Securities Industry and Financial Markets Association: Katherine Tew Darras & Rosario Chiarenza, International Swaps and Derivatives Association, Inc., New York, New York; Ira D. Hammerman & Kevin M. Carroll, Securities Industry and Financial Markets Association, Washington, D.C.; David M. Becker, Edward J. Rosen, Michael D. Dayan, Joon H. Kim & Shiwon Choe, Cleary Gottlieb Steen & Hamilton LLP, New York, New York & Washington, D.C. For Amicus Curiae Managed Funds Association: Roger D. Blanc, Martin Klotz & Richard D. Bernstein, Willkie Farr & Gallagher LLP, New York, NY. For Amici Curiae Washington Legal Foundation, National Association of Manufacturers & Business Roundtable: Daniel J. Popeo & Richard A. Samp, Washington Legal Foundation, Washington, D.C. *1
Case number: 08-2899-cv (L)

Cite as: CSX Corporation v. The Children's Investment Fund Management (UK) LLP, 08-2899-cv (L), NYLJ 1202503282709, at *1 (2d Cir., Decided July 18, 2011)Before

September 12, 2005 |

The NLJ Client List�Who Represents Corporate America

The National Law Journal and Corporate Counsel magazine surveyed the legal departments of the Fortune 250 companies and reported on which law firms they use most often.
73 minute read

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