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    Published

    Filter by:

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    Published

    March 28, 2023

    Investor Alert: Litigation as a Tool for Achieving ESG Goals

    Domenico Minerva, Connor Boehme
    March 24, 2023

    When Social Media Data Can Imperil Your Privacy Class Action

    Carol C. Villegas and Danielle Izzo
    March 17, 2023

    Investor Alert: FTX Founder Samuel Bankman-Fried's Legal Challenges Intensify After Federal Prosecutors Unveil Multiple New Charges and Co-Founder Nishad Singh Pleads Guilty

    Michael P. Canty, James M. Fee
    February 08, 2023

    Investor Alert: The Cost of Corporate Fraud

    Domenico Minerva, Michelle V. Cooper
    January 31, 2023

    5th Circ. Confidential Witness Ruling Is a Big Change

    James T. Christie and David Saldamando
    December 27, 2022

    Investor Alert: The Rapid Collapse of Cryptocurrency Platform FTX and the Alleged Fraud its Founder Samuel Bankman-Fried Perpetrated on his Customers and Investors

    Michael P. Canty, James M. Fee
    December 20, 2022

    Investor Alert: SEC Amendments to Rule 10b5-1 Insider Trading Plans and Related Disclosures

    Eric J. Belfi and Charles J. Stiene
    December 06, 2022

    Investor Alert: DOL Final Rule on Prudence and Loyalty in Selecting Plan Investments and Exercising Shareholder Rights

    Thomas G. Hoffman Jr., Guillaume Buell, Charles Wood
    November 09, 2022

    Investor Alert: SEC Proxy Voting Disclosure Rules Aid Investors

    Domenico Minerva, Philip J. Leggio
    October 26, 2022

    Inside the History and Impact of the PSLRA

    Eric J. Belfi, Michael P. Canty, and Danielle Izzo
    October 17, 2022

    2nd Circ. Securities Ruling May Encourage Fraud

    Carol C. Villegas, Jake Bissell-Linsk, Danielle Izzo
    July 22, 2022

    Investor Alert: SEC’s Amendment to Proxy-Advisory Rules a Win for Voting Independence of Institutional Investors

    Domenico Minerva, David Saldamando

    Published

    March 28, 2023

    Investor Alert: Litigation as a Tool for Achieving ESG Goals

    Domenico Minerva, Connor Boehme
    March 24, 2023

    When Social Media Data Can Imperil Your Privacy Class Action

    Carol C. Villegas and Danielle Izzo
    March 17, 2023

    Investor Alert: FTX Founder Samuel Bankman-Fried's Legal Challenges Intensify After Federal Prosecutors Unveil Multiple New Charges and Co-Founder Nishad Singh Pleads Guilty

    Michael P. Canty, James M. Fee
    February 08, 2023

    Investor Alert: The Cost of Corporate Fraud

    Domenico Minerva, Michelle V. Cooper
    January 31, 2023

    5th Circ. Confidential Witness Ruling Is a Big Change

    James T. Christie and David Saldamando
    December 27, 2022

    Investor Alert: The Rapid Collapse of Cryptocurrency Platform FTX and the Alleged Fraud its Founder Samuel Bankman-Fried Perpetrated on his Customers and Investors

    Michael P. Canty, James M. Fee
    December 20, 2022

    Investor Alert: SEC Amendments to Rule 10b5-1 Insider Trading Plans and Related Disclosures

    Eric J. Belfi and Charles J. Stiene
    December 06, 2022

    Investor Alert: DOL Final Rule on Prudence and Loyalty in Selecting Plan Investments and Exercising Shareholder Rights

    Thomas G. Hoffman Jr., Guillaume Buell, Charles Wood
    November 09, 2022

    Investor Alert: SEC Proxy Voting Disclosure Rules Aid Investors

    Domenico Minerva, Philip J. Leggio
    October 26, 2022

    Inside the History and Impact of the PSLRA

    Eric J. Belfi, Michael P. Canty, and Danielle Izzo
    October 17, 2022

    2nd Circ. Securities Ruling May Encourage Fraud

    Carol C. Villegas, Jake Bissell-Linsk, Danielle Izzo
    July 22, 2022

    Investor Alert: SEC’s Amendment to Proxy-Advisory Rules a Win for Voting Independence of Institutional Investors

    Domenico Minerva, David Saldamando
    March 29, 2022

    Investor Alert: SEC Issues Proposed Rule Changes Addressing Climate-Related Information Disclosure to Investors

    Eric J. Belfi, James M. Fee
    February 04, 2022

    Assessing 3 Bills To Expand Kids' Online Protections In 2022

    Michael P. Canty, Carol C. Villegas, Danielle Izzo
    January 12, 2022

    US Follows EU’s Lead on ESG Reporting Standards

    Eric J. Belfi, Lisa Strejlau, and Roger W. Yamada
    December 03, 2021

    Investor Alert: SEC’s Universal Proxy Rules Benefit Shareholders

    Eric J. Belfi, Lara Goldstone, Philip J. Leggio
    November 18, 2021

    Investor Alert: SEC Signals Forthcoming Reforms to Rule 10b5-1

    Eric J. Belfi, Nico Minerva, Corban S. Rhodes, Charles J. Stiene
    October 27, 2021

    Investor Alert: “Extraterritoriality” and Other Emerging Litigation Trends with Respect to Cryptocurrency

    Eric J. Belfi, Nico Minerva, Robert Rowley
    September 17, 2021

    Investor Alert: Defendants’ Renewed Efforts to Pursue Disfavored Discovery from Absent Class Members

    Jonathan Gardner, Joseph Cotilletta, Marco A. Dueñas
    June 10, 2021

    Post-‘Cyan’ Developments in the First Department

    Alfred L. Fatale III, Lisa Strejlau and Marco A. Dueñas
    May 26, 2021

    New Circuit Split Complicates Domestic Securities Test

    Eric J. Belfi and David Saldamando
    May 20, 2021

    Investor Alert: Cayman Islands Appraisal Rights Ruling Should End Appraisal-Blocking Trend Involving Short-Form Mergers

    Mark D. Richardson, David Schwartz, Jake Bissell-Linsk, John Vielandi
    May 03, 2021

    EQUITY ALERT: Labaton Sucharow Investigating Churchill Capital Possible Securities Fraud Violations

    Labaton Sucharow
    February 18, 2021

    Investor Alert: “Traceability” Developments in Securities Litigations

    Alfred L. Fatale III, Alec T. Coquin, and Charles Farrell
    December 16, 2020

    Investor Alert: The Ongoing Debate Over Quarterly Reporting Requirements

    Michael P. Canty, Ross M. Kamhi
    December 08, 2020

    Commencing a Securities Class Action: Pleading Claims

    Carol C. Villegas and Jake Bissell-Linsk
    December 03, 2020

    Investor Alert: Second Circuit Paves The Way For Investors To Hold Companies Accountable Even If Their Statements Are Framed As Opinions

    James Johnson, Phillip Leggio
    October 12, 2020

    Investor Alert: A New Trading Venue: The Members Exchange

    Rachel A. Avan, Jeffrey R. McEachern
    July 08, 2020

    Commencing a Securities Class Action: Investigating Claims

    Jonathan Gardner, Lisa Strejlau, Amy Greenbaum
    June 12, 2020

    1st Circ. Generic-Delay Ruling Isn't Popular With Lower Courts

    Karin Garvey and Ethan Kaminsky
    May 15, 2020

    Commencing a Securities Class Action: Lead Plaintiff and Lead Counsel Appointments

    Francis McConville, Charles Wood
    May 04, 2020

    Private Equity Investment by Public Pension Plans: The Need for Transparency and Recourse

    Marisa N. DeMato, James T. Christie
    May 04, 2020

    Coronavirus: Implications for Securities Litigation

    Carol C. Villegas, Rachel A. Avan
    April 27, 2020

    Recent Trends in Class Action Litigation

    User
    April 13, 2020

    INSIGHT: Multinational Claims for Multinational Frauds

    Eric J. Belfi and Thomas W. Watson
    April 06, 2020

    Commencing a Securities Class Action: Identifying Claims

    Francis McConville, Charles Wood
    March 17, 2020

    Client Alert: Coronavirus (COVID-19) Update

    Labaton Sucharow
    January 03, 2020

    A Lower Bar To Prove Market Efficiency In Securities Cases

    John Esmay, Philip Leggio
    December 11, 2019

    Slack's Direct Listing Tests Limits Of Securities Act

    Francis McConville, Alec Coquin, and Charles Wood
    October 08, 2019

    Mutual Funds Should Consider Shareholder Litigation

    Serena Hallowell, Alec Coquin, Jake Bissell-Linsk
    September 04, 2019

    Expert Q&A on Class Action Settlements and Developments in Class Action Practice

    David J. Goldsmith
    April 25, 2019

    Emulex Highlights Greater Scrutiny of Issues at High Court

    Serena Hallowell, Corban Rhodes, Anna Menkova
    March 06, 2019

    The Time Has Come to Address Rule 10b5-1 Trading Plans and Their Shortcomings

    Alfred L. Fatale III, Lisa Strejlau
    February 26, 2019

    Protecting Patents Through Tribal Sovereign Immunity: A Failed Experiment

    Gregory Asciolla, Matthew Perez
    January 18, 2019

    High Court's Emulex Issue Is Narrower Than Some Suggest

    Corban Rhodes, Anna Menkova
    July 11, 2018

    An Update On Anti-Poach Enforcement and Class Actions

    Robin van der Meulen, Brian Morrison
    July 03, 2018

    China Agritech's Positive Implications For Plaintiffs

    Serena Hallowell, David Goldsmith, Philip Leggio, Anna Menkova
    June 12, 2018

    FDA Risk-Evaluation Guidance Unlikely To Help Generics

    Gregory Asciolla, Matthew Perez
    June 01, 2018

    Charting a New Course in Cuba? Why the Time is Now to Settle Outstanding American Property Claims

    Marco A. Dueñas
    April 26, 2018

    Courts Must Soon Tackle Critical Questions About ICOs

    Michael P. Canty, Ross M. Kamhi
    February 06, 2018

    Notable Trends In Foreign Securities Litigation

    Mark S. Willis, Rachel A. Avan
    February 02, 2018

    9th Circ. Decision Could Be Game-Changer for Investors

    Carol C. Villegas, James T. Christie
    December 04, 2017

    Expert Q&A on Class Action Settlements and Developments in Class Action Practice: A Plaintiff-Side Perspective

    David J. Goldsmith
    November 02, 2017

    Arbitration Rule Repeal Will Adversely Affect Consumers

    Gregory Asciolla, Brian Morrison
    October 31, 2017

    Direct Actions: A Path to Recovery for Foreign Purchases of Securities

    Serena P. Hallowell, Rachel A. Avan, Thomas W. Watson
    October 12, 2017

    Efforts to Protect Consumer Data Face Corporate Pushback

    Corban S. Rhodes, Ross Kamhi
    September 15, 2017

    How to Gather Evidence if You Want to be a Whistleblower

    Steven J. Durham
    July 12, 2017

    Investor Recovery Strategies Following ANZ Securities

    Serena P. Hallowell, Brian Morrison, Thomas W. Watson
    April 27, 2017

    The Disruption Generation – Millennial Entrepreneurs Struggle to Go Public

    Michael W. Stocker
    October 27, 2016

    Shareholders Sue Companies for Lying About Cyber Security

    Michael W. Stocker
    October 27, 2016

    Cyber Threats and Securities Litigation: The Emerging Landscape

    Michael W. Stocker, David C. Erroll
    July 18, 2016

    A Turning of the Tide: Victim Redress Through Private Antitrust Litigation

    Karin E. Garvey
    June 30, 2016

    Post-Morrison: The Global Journey Toward Asset Recovery

    Michael W. Stocker, Rachel A. Avan, Michael Korn, and members of the National Association of Public Pension Plan Attorneys (NAPPA) Working Group Morrison Sub-Committee
    June 24, 2016

    Creating a Partial Solution to Delayed Generic Competition

    Gregory Asciolla, Matthew Perez
    April 22, 2016

    Cash or No Cash – That is No Longer the Question!

    Robin A. van der Meulen, Rudi Julius
    December 14, 2015

    “Shall We Dance?”— Biologic-Biosimilar Competition Under the Biologics Price Competition and Innovation Act

    Gregory Asciolla, Matthew Perez
    July 28, 2015

    Securities Act cases are surging in...state courts?

    Michael W. Stocker, Francis P. McConville
    October 01, 2014

    A Major Victory for Investors: The U.S. Supreme Court's Decision in Halliburton Preserves the Status Quo in U.S. Securities Litigation

    Thomas A. Dubbs
    April 30, 2014

    Mandatory Arbitration Provisions: A New Attack on Access to the Courts

    Rachel A. Avan
    April 28, 2014

    Requiring Greater Accountability of MLPs for Investors

    Edward Labaton, Ned Weinberger
    January 13, 2014

    U.S. Securities Litigation and Enforcement

    Thomas A. Dubbs, Jeff Butler, Jonathan Tuttle, and Charles "Chuck" Smith
    December 01, 2013

    Detroit Bankruptcy Ruling: Implications for Public Pension Plans

    Thomas A. Dubbs
    October 01, 2013

    Arbitration Developments that Could Affect UK Investment in U.S.

    Thomas A. Dubbs
    August 29, 2013

    Europe Advancing Victims' Rights in Antitrust Actions

    Gregory Asciolla
    August 01, 2013

    Panic in Detroit: Municipal Bankruptcy and Lessons for City Pension Schemes

    Thomas A. Dubbs
    December 01, 2012

    Two New Court Rulings Say No Exception In Per Se Rule On International Price-Fixing

    Gregory Asciolla
    August 01, 2012

    UK "Shareholder Spring" Shines a Spotlight on Governance Weaknesses

    Thomas A. Dubbs
    June 01, 2012

    The JOBS Act Creates Opportunities and Risks

    Rachel A. Avan
    February 01, 2012

    Volcker and Vickers are Bringing Necessary – Albeit Challenging – Change to U.S. and UK Financial Systems

    Thomas A. Dubbs
    December 01, 2011

    Whistleblowers and Corporate Misconduct: the U.S. v. the UK

    Thomas A. Dubbs
    November 28, 2011

    Recent Cases on Antitrust Implications of Petitioning Foreign Governments

    Gregory Asciolla
    November 25, 2011

    Does 'Dukes' Require Full 'Daubert' Scrutiny at Class Certification?

    Jonathan Gardner and Serena Hallowell
    November 09, 2011

    Quantum Meruit Claims

    Joseph H. Einstein, Jonathan Gardner
    October 07, 2011

    The Benefits of Investor Protection

    Christopher Keller
    October 01, 2011

    Playing the Blame Game at RBS

    Thomas A. Dubbs
    September 09, 2011

    Government Reliance on Private Litigants Diverges with Court Trends

    Rachel A. Avan
    June 01, 2011

    PCAOB Proposals Promise Increased Transparency in Audit Industry

    Thomas A. Dubbs
    April 01, 2011

    Increased FDIC Lawsuits a Step in the Right Direction, But Too Little Too Late?

    Thomas A. Dubbs
    February 01, 2011

    Financial Stability Oversight Council's Proposed Metrics for Supervision of Non-Bank Financial Firms

    Thomas A. Dubbs
    December 01, 2010

    2010 – The Securities Year in Review

    Thomas A. Dubbs
    December 01, 2010

    SEC Contemplating Governance Reforms

    Christopher Keller
    November 15, 2010

    Is the Shield Beginning to Crack?

    Christopher Keller
    October 12, 2010

    Pre-Confirmation Remedies to Assure Collection of Arbitration Awards

    Jonathan Gardner, Joseph H. Einstein
    October 01, 2010

    Auditor Liability Still a Going Concern

    Thomas A. Dubbs
    August 07, 2010

    BP's Deep Water Horizon Has a Deep Impact on UK Pension Schemes

    Thomas A. Dubbs
    August 05, 2010

    Say What? Pay What? Real World Approaches to Executive Compensation Reform

    Christopher Keller
    August 01, 2010

    Latest Round of Basel Committee Proposed Reforms a Mixed Bag

    Thomas A. Dubbs
    June 01, 2010

    Deepwater Horizon's Deep Impact on Pension Schemes

    Thomas A. Dubbs
    May 01, 2010

    Quantifying Antitrust Damages in Private Enforcement Actions Under European Union Competition Law

    Gregory Asciolla
    April 01, 2010

    Morrison v. National Australia Bank

    Thomas A. Dubbs

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