Searching Content indexed under Charges, Mortgages, Indemnities by Richard Rosenfeld ordered by Published Date Descending.
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Who Knew? The SEC as the Hidden Regulator of Ginnie Mae Issuers
The United States Securities and Exchange Commission ("SEC") continues to bring enforcement actions focused on government-guaranteed residential mortgage backed securities, notably including those guaranteed by the Government National Mortgage Association ("Ginnie Mae" or "GNMA").
United States
27 Jun 2016
US Court Of Appeals for the Second Circuit Clarifies Standard for "Domestic Transactions" Prong of Morrison
In Morrison v. National Australia Bank Ltd., the US Supreme Court sharply restricted the extraterritorial applicability of the antifraud provisions of the securities laws.
United States
25 Apr 2012
Southern District Court Rejects Plaintiffs’ Bid to Conceal Identities of Confidential Witnesses
In the last few years, plaintiffs in securities actions have increasingly relied on allegations attributed to "confidential witnesses."
United States
14 Mar 2012
Second Circuit Rejects Application of RICO to Foreign Criminal Enterprises
The US Supreme Court’s 2010 decision in Morrison v. NAB created a sea change in private securities litigation by sharply limiting the extraterritorial application of the securities laws while employing language suggesting skepticism of extraterritoriality more generally.
United States
9 Feb 2012
California District Court Dismisses Securities Claims Against Chinese Corporation for Failure to Plead Falsity
On November 30, 2011, Judge John A. Kronstadt of the US District Court for the Central District of California dismissed a putative class action brought by shareholders of China Century Dragon Media based on the inconsistencies between revenue and profit figures reported to the US Securities and Exchange Commission (SEC) and the Chinese State Administration for Industry and Commerce (SAIC).
United States
5 Jan 2012
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