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Description Date Docket #

MED. CARE AM., INC. v. NAT'L UNION FIRE INS. CO.

United States Fifth Circuit
Corp. Governance, Corporation & Enterprise Law, Insurance Law, Securities Law
Under Texas law, directors and officers liability insurance policy did not cover directors' and officers' post-merger wrongful acts that were the same...
08/05/2003 01-10324

BROUDO v. DURA PHARMS., INC.

United States Ninth Circuit
Drugs & Biotech, Securities Law
A complaint satisfied the loss causation element of a Section 10(b) violation of the Securities and Exchange Act of 1934 with respect to a device for...
08/05/2003 01-57136

NEWBY v. ENRON CORP.

United States Fifth Circuit
Civil Procedure, Securities Law
The district court was authorized, under the Securities Litigation Uniform Standards Act of 1998 and the All Writs Act, to issue an order staying...
07/30/2003 02-20486

BRENNER v. COMMODITY FUTURES TRADING COMM'N

United States Seventh Circuit
Sanctions, Securities Law
Evidence of liability was sufficient to support summary disposition against appellants for Commodity Exchange Act violations, and the Commodity...
07/30/2003 02-3722

GOLDSTEIN v. MCI WORLDCOM

United States Fifth Circuit
Civil Procedure, Securities Law
Where a complaint for securities fraud does not adequately plead scienter in conformity with the Private Securities Litigation Reform Act and Rule...
07/29/2003 02-60322, 03-60248

COUTEE v. BARINGTON CAPITAL GROUP, L.P.

United States Ninth Circuit
Attorney's Fees, Dispute Resolution & Arbitration, Securities Law
Arbitrators in a securities claim did not manifestly disregard the facts in assessing the amount of loss that resulted from defendant's conduct, and...
07/28/2003 02-56016/56052

US v. POLISHAN

United States Third Circuit
Criminal Law & Procedure, Securities Law
Defendant waived his right to appeal the rulings on pre-trial discovery procedures by failing to comply with the procedural requirements of a local...
07/14/2003 02-1325

PROF'L MGMT. ASSOCS., INC. v. KPMG LLP

United States Eighth Circuit
Securities Law
District court did not err in dismissing a complaint under the Securities Litigation Uniform Standards Act of 1998, as the complaint implicitly...
07/14/2003 02-3744

NEW ENGLAND HEALTH CARE EMPLOYEES PENSION FUND v. ERNST & YOUNG, LLP

United States Sixth Circuit
Civil Procedure, Securities Law
Inquiry notice is sufficient to trigger the one-year limitations period for actions brought under section 10(b) of the 1934 Securities Exchange Act,...
07/09/2003 01-6523

US v. BROWN

United States Tenth Circuit
International Law, Securities Law, Tax Law
A receivership estate created to compensate German victims of securities fraud satisfied the criteria to be a Qualified Settlement Fund that is liable...
07/08/2003 01-4229

Results 1461 to 1470 of 1736

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