Month: January 2008

Stoneridge: The Supreme Court’s Ruling and Its Impact – Part 2: The Roots of Scheme Liability

The origins of scheme liability and Stoneridge Investment Partners, LLC v. Scientific Atlanta, Inc., No. 06-43, slip op. (Jan. 15, 2008) trace to 1994, when the Supreme Court decided Central Bank of Denver v. First Interstate, 511 U.S. 164 (1994).

Trends In Securities Enforcement: FCPA and Insider Trading

Key trends in securities enforcement include increased emphasis in FCPA enforcement, as well as the growing global war on insider trading. Cameron International disclosed yesterday, for example, that the SEC is investigating whether the company may have violated the anti-bribery