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| 1 | Select Causes of Action Toolkit Resources to help in-house lawyers get a basic understanding of the key issues underlying various types of corporate litigation. | Practice Note: Overview | Maintained |
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| 1 | Bribery Act 2010 A practice note about the Bribery Act 2010, which received Royal Assent in April 2010 and came into force on 1 July 2011. The background to the Act is described in Practice note, Bribery: law reform. PLC's materials on the Bribery Act are set out in Bribery Act 2010: toolkit. | Practice Notes | Maintained |
| 2 | Bribery Act 2010: facilitation payments This note looks at facilitation payments, examining in particular what they are, why the lack of an exemption in the Bribery Act has been controversial, how the SFO plans to enforce the Bribery Act in relation to them and what can be done to prevent them being made. Information is also given on the position the OECD and other countries have taken towards facilitation payments. | Practice Notes | Maintained |
| 3 | Criminal and Civil Liability for Corporations, Officers and ... This Practice Note provides an overview of the potential criminal and civil liability that corporations, officers and directors may face as a result of actions taken by corporate personnel, and offers practical advice to mitigate the risk of liability. | Practice Notes | Maintained |
| 4 | Issues in transatlantic litigation This note address the issues that arise when it is possible for a party to bring proceedings in the courts of England and Wales, or the US. The note: Considers the key procedural differences between English and US litigation. Identifies major differences in the substantive laws of the two jurisdictions. Discusses the practical issues facing litigants in transatlantic litigation. | Practice Notes | Maintained |
| 5 | Looking ahead tracker: developments in dispute resolution A tracker outlining anticipated key developments in litigation and alternative dispute resolution (ADR). | Practice Notes | Maintained |
| 6 | Piercing the Corporate Veil This Note discusses the doctrine of piercing the corporate veil, primarily in the context of the parent-subsidiary relationship. It explains the two primary arguments used to prove piercing claims, the alter ego theory and the agency theory, and examines what parent companies can do to limit their exposure to the liabilities of their subsidiaries. | Practice Notes | Maintained |
| 7 | Product Liability Claims, Defenses and Remedies A Practice Note discussing the key legal issues to consider when litigating product liability suits in the US. Specifically, this Note addresses the various substantive claims alleged by product liability plaintiffs, affirmative defenses asserted by defendants and the remedies available to successful plaintiffs. | Practice Notes | Maintained |
| 8 | Product Liability Class Actions A Practice Note analyzing the general procedural framework for litigating product liability class actions. Specifically, this Note covers the key features of litigating product liability class actions under Rule 23 of the Federal Rules of Civil Procedure (FRCP) and the Class Action Fairness Act of 2005 (CAFA). | Practice Notes | Maintained |
| 9 | Product Liability Litigation: Cross-border Issues A Practice Note analyzing several key issues that come up when non-US product sellers become involved in US product liability suits. Specifically, this Note focuses on how to determine whether a non-US entity is subject to personal jurisdiction in the US, how to properly serve process on a non-US entity, whether (and the extent to which) US law may be used to regulate foreign conduct, whether non-US entities may be subject to American-style discovery and the circumstances under which a US judgment may be enforced abroad. | Practice Notes | Maintained |
| 10 | Product Liability Litigation: Discovery Issues A Practice Note analyzing the key issues for companies to consider during the discovery phase of product liability lawsuits. Specifically, this Note focuses on handling large-scale document production, addressing "bad" company documents, preparing company witnesses for depositions and preparing for expert discovery. It also identifies some of the ways that courts try to manage the discovery process in these types of cases. | Practice Notes | Maintained |
| 11 | Product Liability Litigation: Pre-trial Motions A Practice Note analyzing the key issues to consider when filing certain types of pre-trial motions in product liability suits. Specifically, this Note focuses on filing motions to dismiss, motions for class certification, motions for summary judgment, motions in limine and Daubert/Frye motions. | Practice Notes | Maintained |
| 12 | Product Liability Litigation: Trial and Settlement A Practice Note analyzing the key issues for companies to consider when trying or settling product liability cases. Specifically, this Note outlines how to effectively convey the company's story at trial, the possible preclusive effect of a product liability judgment on future litigation and strategic issues to consider when settling a product liability lawsuit. | Practice Notes | Maintained |
| 13 | Product Liability Multidistrict Litigation A Practice Note analyzing the general procedural framework for litigating product liability cases that have been consolidated (or are pending consolidation) for pretrial purposes under the Multidistrict Litigation Act of 1968. | Practice Notes | Maintained |
| 14 | Shareholder Derivative Litigation A Note examining the unique features of shareholder derivative lawsuits. Specifically, this Note addresses the basic issues raised by shareholder derivative lawsuits, how to choose the right plaintiff to bring a shareholder derivative lawsuit, the requirement of a pre-suit demand on the board of directors, how to litigate a shareholder derivative lawsuit, settling a shareholder derivative lawsuit, the ability to request security for costs associated with shareholder derivative litigation and the remedies available in shareholder derivative litigation. | Practice Notes | Maintained |
| 15 | Shareholder Derivative Litigation: Special Litigation ... A Note examining the key features of special litigation committees (SLCs) and their role in shareholder derivative litigation. Specifically, this Note addresses the basic features of SLCs, judicial review of an SLC's recommendations and how to obtain discovery from an SLC. | Practice Notes | Maintained |
| 16 | Trends in Federal White Collar Prosecutions A Practice Note covering recent trends and developments in the federal government's prosecution of white collar crime. Specifically, this Note examines the government's tactics and strategies in enforcing federal criminal laws, the elements of several criminal statutes frequently used by the government to prosecute corporate crime, what constitutes criminal intent in white collar cases, company and managerial liability and compliance programs designed to mitigate corporate liability. | Practice Notes | Maintained |
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| 1 | Commercial Litigation: Causes of Action Checklist A Checklist setting out the key elements of various causes of action that commonly arise in commercial litigation. | Checklists | Maintained |
| 2 | Company Use of Social Media: Best Practices Checklist A Checklist of best practices for a company to consider when using social media in its business strategy. | Checklists | Maintained |
| 3 | D. Mass. Formatting Checklist: Shareholder Derivative ... A Checklist of formatting rules for shareholder derivative complaints filed in the US District Court for the District of Massachusetts. | Checklists | Maintained |
| 4 | ED Pa. Formatting Checklist: Shareholder Derivative ... A Checklist of formatting rules for shareholder derivative complaints filed in the US District Court for the Eastern District of Pennsylvania. | Checklists | Maintained |
| 5 | EDNY Formatting Checklist: Shareholder Derivative ... A Checklist of formatting rules for shareholder derivative complaints filed in the US District Court for the Eastern District of New York. | Checklists | Maintained |
| 6 | Employees and Social Media: Company Best Practices ... A best practices checklist for employers to consider regarding employee use of social media including use of a social media policy, lawful limitations on disparaging comments, prohibitions on misuse, elimination of harassment and requirements for training. This Checklist addresses federal law and general best practices. | Checklists | Maintained |
| 7 | Monitoring and Responding to Third Party Use of Social ... A checklist on best practices for a company to consider in monitoring and responding to third party use of social media, including related to IP infringement, defamation and other risks. | Checklists | Maintained |
| 8 | ND Cal. Formatting Checklist: Shareholder Derivative ... A checklist of formatting rules for shareholder derivative complaints filed in the US District Court for the Northern District of California. | Checklists | Maintained |
| 9 | ND Ill. Formatting Checklist: Shareholder Derivative Complaint A Checklist of formatting rules for shareholder derivative complaints filed in the US District Court for the Northern District of Illinois. | Checklists | Maintained |
| 10 | SD Fla. Formatting Checklist: Shareholder Derivative ... A checklist of formatting rules for shareholder derivative complaints filed in the US District Court for the Southern District of Florida. For formatting rules that apply generally to all filings in the Southern District of Florida, see Southern District of Florida: General Formatting Checklist. | Checklists | Maintained |
| 11 | SDNY Formatting Checklist: Shareholder Derivative ... A checklist of formatting rules for shareholder derivative complaints in the US District Court for the Southern District of New York. | Checklists | Maintained |
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| 1 | Developments in US product liability law and the issues ... This article provides an overview of the product liability exposure of foreign manufacturers in the US. It considers the relevant substantive law, providing analysis of the tactics used by claimants against foreign corporates, and discussing the ways in which foreign manufacturers can minimise their exposure. This article is part of the PLC multi-jurisdictional guide to dispute resolution. For a full list of jurisdictional Q&As visit www.practicallaw.com/dispute-mjg. | Articles | 01-Mar-2012 |
| 2 | Secondary market liability in Canada: securities class actions All Canadian provinces and territories have recently amended their securities statutes to contain provisions that create civil liability for secondary market misrepresentation. Investors that purchase an issuer's securities on the secondary market may now bring claims for misrepresentation and failure to make timely disclosure of a material change. As a result, there has been a marked increase in the number of securities class actions in Canada. This article provides: an overview of the policy rationale behind the new statutory regime; an examination of the regime's key features; and an analysis of the case law that has developed around the provisions so far. This article is part of the PLC multi-jurisdictional guide to dispute resolution. For a full list of jurisdictional Q&As visit www.practicallaw.com/dispute-mjg. | Articles | 01-Mar-2012 |
| 3 | The RMBS Working Group: Who It is and What It Can Do An Article analyzing the structure, mission and implications of the newly formed Residential Mortgage-Backed Securities (RMBS) Working Group. | Articles | 08-Feb-2012 |
| 4 | Global investigations: managing the risks Recent trends towards increased co-operation and exchange of information between regulators and prosecutors mean that multinational companies frequently have to deal with the same regulatory issues across many jurisdictions. This article sets out the key issues that a company must consider when facing a multi-jurisdictional regulatory investigation. | Articles | 28-Apr-2011 |
| 5 | The Gulf of Mexico oil spill: consequences for the oil and gas ... This article examines the legal and commercial consequences of the 2010 BP Gulf of Mexico oil spill and considers how the future of the global oil and gas industry might be shaped as a result. | Articles | 15-Feb-2011 |
| 6 | The Rise of the "Private Surgeon General" An Article discussing some of the major challenges that "private Surgeon General" suits pose to product manufacturers, and offering practical guidance on how to effectively defend these suits. | Articles | 19-Nov-2010 |
| 7 | Top-up Options: Mitigating Litigation Risks Increased judicial scrutiny has led parties to change certain terms of their top-up options. Professor Steven M. Davidoff examines these modifications and their effectiveness. | Articles | 01-Oct-2010 |
| 8 | Government Investigations of Corporate Fraud ... An Article detailing the issues in-house counsel face when their companies become the targets of government investigations. | Articles | 30-Apr-2010 |
| 9 | Protection of Employer's Electronic Data in New York An analysis of the 2007 New York Court of Appeals decision recognizing for the first time that the common law cause of action of conversion can apply to electronic data. | Articles | 08-Oct-2009 |
| 10 | A Busy Summer in the Chancery Court: Examining Fiduciary ... Professor Steven M. Davidoff writes on the recent decisions from the Delaware Chancery Courts in a post Lyondell world. | Articles | 25-Aug-2009 |
| 11 | Lessons From the Huntsman Corporation Bank Litigation Professor Steven M. Davidoff writes on lessons learned from the Huntsman litigation against the acquisition financing lenders claiming tortious interference of contract. | Articles | 20-Jul-2009 |
| 12 | Commitment Letters: Lessons From Recent US Litigation An article on developments in bank loan commitment letters arising from recent US litigation. | Articles | 28-May-2009 |
| 13 | Private securities litigation: issues for foreign companies An article highlighting the key issues that foreign companies listed on US exchanges face in relation to private securities litigation by US or non-US plaintiffs.This article is part of the PLC US Special Report, which was published to mark the launch of PLC's first US services. | Articles | 11-Nov-2008 |
| 14 | Restructuring and insolvency: time to rebuild An overview of the US bankruptcy code, including an outline of Chapters 7, 11 and 15 of the Bankruptcy Code and an overview of involuntary proceedings, creditor status in bankruptcy, and parent, director and lender liability. This article is part of the PLC US Special Report, which was published to mark the launch of PLC's first US services. | Articles | 11-Nov-2008 |
| 15 | US litigation risk: recent developments An examination of recent developments that affect US litigation risk for non-US businesses.This article is part of the PLC US Special Report, which was published to mark the launch of PLC's first US services. | Articles | 11-Nov-2008 |
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| 1 | First Circuit: De Novo the New Standard for Reviewing ... In Union de Empleados de Mulles de Puerto Rico PRSSA Welfare Plan v. UBS Financial Services, the US Court of Appeals for the First Circuit held that appeals of dismissals based on a party's failure to plead demand futility in a shareholder derivative complaint are subject to de novo review. This ruling clarifies the First Circuit's standard and makes it easier for plaintiffs to appeal dismissals of this type. | Legal Update: archive | 08-Jan-2013 |
| 2 | Bribery Act: revised SFO policies on facilitation payments ... On 9 October 2012 the Serious Fraud Office issued revised statements of policy on facilitation payments, business expenditure (hospitality and gifts) and self-reporting. | Legal Update: archive | 09-Oct-2012 |
| 3 | New Corporate Crime, Fraud and Investigations multi ... PLC Cross-border has a new Corporate Crime, Fraud and Investigations multi-jurisdictional guide, which answers key questions on white-collar crime from the perspective of legal practitioners in 18 jurisdictions. | Legal Update: archive | 12-Sep-2012 |
| 4 | Legal FAQs: Are there standard clauses that might protect ... A PLC Commercial "Legal FAQs" article on whether there are any standard clauses that might protect the parties to a cross-border contract if the euro collapses, or if one or more countries exit the euro. free access | Legal Update: archive | 22-Dec-2011 |
| 5 | SRA consultation: regulation of international practice The Solicitors Regulation Authority has published a consultation on the regulation of solicitors practising overseas. (free access) | Legal Update: archive | 09-Nov-2011 |
| 6 | Legal FAQs: Bribery Act 2010 A PLC Commercial "Legal FAQs" article about the Bribery Act 2010, which comes into force on 1 July 2011. For details about PLC's materials on the Bribery Act, see Practice note, Bribery Act 2010: toolkit. | Legal Update: archive | 29-Apr-2010 |
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| 1 | Rome Convention | Glossary | Maintained |
| 2 | Rome I | Glossary | Maintained |
| 3 | Commercial purposes exception to state immunity (Supreme ... In SerVaas Incorporated v Rafidain Bank and others [2012] UKSC 40, the Supreme Court held that the commercial purposes exception to state immunity did not apply, and so dismissed an appeal against a decision upholding immunity from execution. | Legal Update: Case Report | 21-Aug-2012 |
| 4 | Assets of state-owned company not to be equated with the ... In La Générale des Carrières et des Mines v F.G. Hemisphere Associates LLC [2012] UKPC 27, the Privy Council considered the circumstances, if any, in which the assets of state-owned companies could be equated with the state and its assets. | Legal Update: Case Report | 18-Jul-2012 |
| 5 | ECJ holds that Article 6 of the Unfair Terms Directive is ... A report about the ECJ judgment in the case of Asturcom Telecommunications SL v Maria Cristina Rodriguez Nogueira, Case C-40/08, in October 2009. | Legal Update: Case Report | 08-Oct-2009 |