Tag: Securities and Exchange Commission
The Extraterritorial Scope of the FCPA as Addressed in New Government...
Beth France, Greta Lichtenbaum, Dec 12, 2012
On November 14, 2012, the Department of Justice ("DOJ") and the Securities and Exchange Commission ("SEC") released FCPA:...
The Anticorruption and Antitrust Interface
Steven Braga, Christopher Conniff & Mark Popofsky, Feb 14, 2012
The Foreign Corrupt Practices Act (“FCPA”) and the...
The Credit Rating Agencies: How Did We Get Here? Where Should...
Lawrence White, Apr 17, 2012
The three major credit rating agencies-Moody's, Standard & Poor's ("S&P"), and Fitch-have attracted an increasing amount of media attention over...
Supreme Court Rules That Antitrust Claims Relating To IPO Underwriting Conduct...
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Payal Shah, Claire Webb, Alan Weinschel, Jun 29, 2007
In Credit Suisse Securities (USA)...
Has the Supreme Court Given Regulated Industries Implied Immunity from the...
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Svetlana Gans, Connie Robinson, Jun 29, 2007
Introduction
In a 7-1 decision, the U.S. Supreme...
Credit Suisse, Regulatory Immunity, and the Shrinking Scope of Antitrust
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Keith Sharfman, Jun 29, 2007
Last week, in Credit Suisse Securities v. Billing, the...