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SEC's Insider Trading Complaint Asks Approval to Regulate Credit Default
John Olson, a senior securities partner at Gibson, Dunn & Crutcher, said he knows which two cases are about to become the talk of the securities bar. One, the U.S. Securities and Exchange Commission's action against billionaire Mark Cuban, has already generated a lot of hype. But the other one?a suit that has so far kept a low profile?could be even more significant. It is the case brought by the SEC last month accusing a Deutsche Bank Securities bond salesman and a former Millennium Partners hedge fund manager of insider trading in credit default swaps ? the derivatives blamed for much of the economic meltdown.Supreme Court of the State of New York Appellate Division: Second Judicial Department STEPHEN G. CRANE, J.P. REINALDO E. RIVERA ANITA R. FLORIO RUTH C. B
Cite as: Application of Williamson v. Lipper, 604123/07, NYLJ xxxxxx, at *1 (Sup., NY, Decided October 28, 2010)Justice Shirley Kornreich
Regulators scrutinizing Facebook after IPO mess, but lawyers doubt tough penalties to follow
In the wake of its botched initial public offering, Facebook is facing uncommonly swift regulatory scrutiny on multiple fronts. Still, securities lawyers say it's unlikely the social media giant and its lead underwriter Morgan Stanley Smith Barney will face serious penalties from the government.State AI Legislation Is on the Move in 2024
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