Corporate & Commercial

On June 6, 2011, the U.S. Supreme Court held in Erica P. John Fund, Inc. v. Halliburton Co., 563 U.S. ____ (2011) that plaintiffs accusing Halliburton Co. of securities laws violations do not have to prove loss causation in order to obtain class certification.   
The Halliburton plaintiffs sought class certification for shareholders who allege that

On December 20, the SEC announced that it had entered into a non-prosecution agreement with Carter’s Inc., allowing Carter’s to avoid prosecution in exchange for cooperation with a fraud investigation.  This is the first non-prosecution agreement issued by the SEC since its announcement in January 2010 of new measures designed to strengthen SEC enforcement by

Secretary of Commerce Gary Locke continued the administration’s push to boost U.S. exports 100% by 2015 in accordance with President Obama’s 3/11/10 executive order establishing the National Export Initiative (“NEI”).  Last week, Secretary Locke addressed the 2010 International District Export Council (“DEC”) at a conference in Detroit, noting recent economic successes as a result of the NEI

Companies expanding in foreign countries often engage consultants to assist in marketing to and negotiating with foreign officials.  In recent years, they have become increasingly careful to consider whether payments for such services may implicate concerns under the Foreign Corrupt Practices Act (FCPA).  On September 1, 2010, the DOJ released its third FCPA Opinion Procedure