Sentences with phrase «securities fraud suits»

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The Briscoe Law Firm, PLLC is a full service business litigation and shareholder rights advocacy firm with more than 20 years of experience in complex litigation matters, including claims of investor and stockholder fraud, shareholder derivative suits, and securities class actions.
In addition, former town attorney Genova recently settled a civil suit brought by the Securities and Exchange Commission alleging he committed securities fraud for his role in assisting an unnamed town concessionaire in getting loan guarantees from the town, and then not telling investors about the Securities and Exchange Commission alleging he committed securities fraud for his role in assisting an unnamed town concessionaire in getting loan guarantees from the town, and then not telling investors about the securities fraud for his role in assisting an unnamed town concessionaire in getting loan guarantees from the town, and then not telling investors about the situation.
Lead counsel for a public healthcare company and its CEO in defense of a securities fraud class action and related shareholder derivative suit.
Represented third - party defendant in the U.S. District Court for the Northern District of Oklahoma in suit claiming fraud in connection with failed asset - backed securities and seeking over $ 100 million in damages.
Won dismissal of outside directors from suit for alleged securities fraud that ultimately settled for $ 7.5 million against other defendants.
Represented AIG in a $ 10 billion fraud suit against Bank of America and its affiliates arising out of AIG's purchase of billions of dollars in Residential Mortgage - Backed Securities.
«With a proven track record in shareholder derivative suits and securities fraud actions and an intimate knowledge of the appellate courts across Texas and the Texas Supreme Court, Andrew will be a strong asset to our firm and clients,» said Michael Forshey, managing partner of the Squire Patton Boggs Dallas office.
A related civil suit filed by the U.S. Securities and Exchange Commission (SEC) alleged fraud, false filings, and related violations of the Securities Act.
In GAMCO Investors v. Vivendi Universal, the Second Circuit provided defendants in securities litigation suits with a method to rebut the fraud - on - the - market presumption by showing that the plaintiffs would have purchased the...
The suit alleges that Tezos violated US Securities Law by selling unregistered securities, committing securities fraud, false advertising and unfair competition by misleading investors regarding the nature of thSecurities Law by selling unregistered securities, committing securities fraud, false advertising and unfair competition by misleading investors regarding the nature of thsecurities, committing securities fraud, false advertising and unfair competition by misleading investors regarding the nature of thsecurities fraud, false advertising and unfair competition by misleading investors regarding the nature of the company.
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