By <a href="http://www.mayerbrownrowe.com/lawyers/profile.asp?hubbardid=O361878992" target="_blank"Dennis P. Orr, a partner in the New York office of the law firm Mayer, Brown, Rowe & Maw LLP. and Jennifer Mondino, an associate with the firm.
By Victor E. Schwartz,a partner in the Washington, D.C. office of the law firm Shook, Hardy & Bacon LLP. and Peter D. Bernstein, an associate with the firm, explain why federal action is needed to oversee lawyers' contacts with investment analysts and control the negative impact such contacts may have.
Paul D. Kamenar, Senior Executive Counsel of the Washington Legal Foundation, alerts readers to the Foundation's filing of a petition with the SEC regarding the role of plaintiffs' lawyers in a stock short selling scheme.
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