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Securities Litigation 2018: From Investigation to Trial
Lyle Roberts, Jonathan K. Youngwood
Corporate & Securities, Litigation
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Table of Contents
Table of Contents
Chapter 1. Oral Downloads of Interview Memoranda to Government Regulators Waive Work Product Protection (December 15, 2017)
Chapter 2. United States Securities and Exchange Commission v. Mathias Francisco Sandoval Herrera and Maria D. Cidre, Defendants’ Response in Opposition to Morgan Lewis’s Motion for Clarification or Reconsideration, Case No. 17-cv-20301-Lenard/Goodman, (S.D. Fla. Dec. 15, 2017)
Chapter 3. United States Securities and Exchange Commission v. Mathias Francisco Sandoval Herrera, et al., Order on Defendants’ Motion to Compel Production from Non-Party Law Firm, Case No. 17-20301-CIV-Lenard/Goodman (S.D. Fla. Dec. 5, 2017)
Chapter 4. United States Securities and Exchange Commission v. Mathias Francisco Sandoval Herrera and Maria D. Cidre, Morgan Lewis’ Motion for Clarification or Reconsideration of the Order on Defendants’ Motion to Compel Production, Case No. 17-cv-20301-Lenard/Goodman (S.D. Fla. Dec. 12, 2017)
Chapter 5. Securities Litigation Basics (PowerPoint slides)
Chapter 6. On Track Betting (August 21, 2017)
Chapter 7. Bielousov v. GoPro, Inc., 2017 WL 3168522, Fed. Sec. L. Rep. P 99,827 (N.D. Cal. July 26, 2017)
Chapter 8. Cyan Argued (November 29, 2017)
Chapter 9. Securities Litigation Uniform Standards Act of 1998, Public Law 105–353 (Nov. 3, 1996)
Chapter 10. Two Bites At The Apple (January 9, 2018)
Chapter 11. In re Finisar Corporation Securities Litigation, 2017 WL 6026244, Fed. Sec. L. Rep. P 99,929 (N.D. Cal. Dec. 5, 2017)
Chapter 12. Top 100 Settlements (July 20, 2017)
Chapter 13. The Top 100 U.S. Class Action Settlements of All Time (December 31, 2017)
Chapter 14. Rites of Confession (October 27, 2017)
Chapter 15. Norfolk County Retirement System v. Community Health Systems, Inc., 877 F.3d 687 (6th Cir. 2017)
Chapter 16. Credible Complaints (December 29, 2017)
Chapter 17. In re VEON Ltd. Securities Litigation, 2017 WL 4162342, Fed. Sec. L. Rep. P 99,879 (S.D.N.Y. Sept. 19, 2017)
Chapter 18. A Tale of Two Judges
Chapter 19. Caveat Corporate Litigator: The First Circuit Sets Back the Attorney Work Product Doctrine
Chapter 20. Exes and the Attorney-Client Privilege
Chapter 21. Finders Keepers, Losers Weepers?
Chapter 22. Good Golly Miss Molly!: The Attorney Work Product Doctrine Takes Another Hit
Chapter 23. ‘Here’s Johnny!’: Carnacing the Future of the SEC’s Preemption Overreach
Chapter 24. In-House Counsel as Whistleblower: a Rat Without a Remedy?
Chapter 25. Lawyers and the Border Patrol: The Challenges of Multi-Jurisdictional Practice
Chapter 26. Mad Dogs and Englishman
Chapter 27. Mad Dogs and Englishmen: Part Deux
Chapter 28. Navigating State-Based Ethics Rules and Sarbanes-Oxley Requirements
Chapter 29. Of Mice, Men, Migratory Lawyers, and Multijurisdictional Practice
Chapter 30. Ohio Takes a Bite Out of the Big Apple
Chapter 31. Pigs Get Fat, Hogs Get Slaughtered: Keeping Lawyers Out of the Slaughterhouse
Chapter 32. “Positively 4th Street”: Lawyers and the “Scripting” of Witnesses
Chapter 33. Attorney-Client Privilege: Misunderestimated or Misunderstood?
Chapter 34. The End of Conflicts of Interest?: Courts Warm Up to Advance Waivers
Chapter 35. The Fork in the Road: The SEC and Preemption
Chapter 36. The Legal Profession and Conflicts: Ain’t No Mountain High Enough?
Chapter 37. Thus Spake Zarathustra (and other Cautionary Tales for Lawyers)
All Contents Copyright © 1996-2020 Practising Law Institute.
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