Year: 2014

THE ORIGINS OF THE FCPA: LESSONS FOR EFFECTIVE COMPLIANCE AND ENFORCEMENT – PART FIVE

This is the fifth part of an occasional series. The first is available here, the second here, the third here and the fourth here. The entire paper will be published by Securities Regulation Law Journal early next year. The Congressional

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This Week In Securities Litigation (Week ending October 2, 2014)

As the government fiscal year drew to a close, the SEC continued what appears to be an emerging trend of filing insider trading actions as administrative proceedings rather than civil injunctive actions in Federal Court. The Manhattan U.S. Attorney’s Office

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