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Securities Litigation 2001
Chair(s):
Bruce G. Vanyo, Jay B. Kasner
Practice Area:
Corporate law,
Securities and other financial products
Published:
Sep 2001
i
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ISBN:
1402400233
PLI Item #:
3827
CHB Spine #:
B1269
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Table of Contents
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Front Matter
Table of Contents
Chapter 1. Developments in Pleading Under the PSLRA and the Application of the PSLRA Safe Harbor
Chapter 2. Testing the Sufficiency of Claims Brought Under Sections 11 and 12(a)(2) of the Securities Act in the Post-Reform Act Era
Chapter 3. Corporate Governance, Compliance and Accountability
Chapter 4. Understanding the Fiduciary Duty of Oversight After McCall v. Scott
Chapter 5. Overarching Principles of Crisis Communications
Chapter 6. Reg FD: One Year Later
Chapter 7. Recent Significant SEC Enforcement Actions
Chapter 8. SEC Enforcement and Financial Reporting
Chapter 9. SEC Investigations and Enforcement Actions: An Overview and Discussion of Recent Trends in Accounting Fraud Investigations
Chapter 10. Current Developments and Issues in the Criminal Prosecution of Federal Securities Law Violations
Chapter 11. Directors' and Officers' Liability Insurance - Policy Language Deserves a Closer Look
Chapter 12. Securities Litigation and Insolvency: The Case for the Director and Officer Insurance Proceeds
Chapter 13. Appointment of Lead Plaintiff Under the Private Securities Litigation Reform Act: Update 2001
Chapter 14. Rule 23(f) Appeals
Chapter 15. Interplay of Lead Plaintiff Provisions of PSLRA and Rule 23 in Litigating Securities Class Actions
Chapter 16. The Liability of Corporate Officials to Their Outside Auditor for Financial Statement Fraud
Chapter 17. Recent Developments in Shareholder Derivative Actions
Chapter 18. Litigation Under the Securities Litigation Uniform Standards Act
Chapter 19. Recent Developments in Derivative and State Court Securities Litigation
Chapter 20. Damages: Illusion or Reality?
Chapter 21. Settlement Issues in Securities Class Actions: The Defense Perspective
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