Skip to main content
Create Account
Training Center
Contact Us
Questions? Comments?
Contact us.
Email:
PLUS@pli.edu
Phone:
877.900.5291
PLI.edu
SIGN IN
Search
Browse
All Content
Books
- Answer Books
- Course Handbooks
- Journals
- Insights
- Treatises
Forms & Checklists
Transcripts
My Bookshelf
My History
< Back To Results
1 in 1 results
Previous Result
Next Result
Handling a Securities Case 2013: From Investigation to Trial and Everything in Between
Chair(s):
Lyle Roberts, Jonathan K. Youngwood
Practice Area:
Litigation,
Securities and other financial products,
Securities litigation,
Trial
Published:
Apr 2013
i
Other versions can be found in the
Related Items
tab.
ISBN:
9781402419881
PLI Item #:
43080
CHB Spine #:
B2021
This version is not current.
Click here for the most recent version.
Search
Email
Print
Add To Bookshelf
Permalink
Table of Contents
Related Items
Select All
Front Matter
Faculty Bios
Table of Contents
Chapter 1. Understanding the New SEC Whistleblower Program
Chapter 2. Recent Cases Analyzing the Reach of Janus Capital Group, Inc. v. First Derivative Traders
Chapter 3. Is Anonymity a Problem? How Recent Court Decisions Analyze Scienter Allegations Attributed to Anonymous Sources at the Motion to Dismiss Stage
Chapter 4. Notable Securities Law Decisions of 2012
Chapter 5. Recent Developments Regarding Class Certification
Chapter 6. Recent Developments in Class Certification Standards: Amgen, Inc. v. Connecticut Retirement Plans and Trust Funds, No. 11-1085
Chapter 7. Gabelli v. SEC: Even Victory for Defendants Will Lead to More Questions
Chapter 8. When Is a Fraud “in Connection with” a Securities Transaction Under the Securities Litigation Uniform Standards Act of 1998?
Chapter 9. Federal Court Approval of Class Action Settlements
Chapter 10. Recent Developments in Loss Causation
Chapter 11. The Use of Confidential Witnesses in Securities Litigation
Index
About Us