Speakers:
Christa Band, Adam Lurie, Daniella Strik, Alex Tolliday
Securities class actions following regulatory investigations (UK, US, EU and Australia)
Securities class actions or "stock drop" claims have long been a fertile source of litigation for claimant investors. These examine the reasons for a drop in the price of securities and seek to pin liability for compensation on the issuer, or others. If the issuer has been the subject of regulatory action there is the prospect of investors raising allegations as to the accuracy of the issuer’s disclosures (the underlying conduct which prompted regulatory interest and the sanctions imposed). This webinar examines those issues in the context of the current class action climate.
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