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25 October 2021
SPACs in the City: the emerging litigation and regulatory risks in England & Wales
21 October 2021
COVID-19 market disclosures and managing the associated litigation risks
11 August 2021
Privy Council confirms that the so-called "reflective loss" principle applies to ex-shareholders
19 July 2021
HMT reform of prospectus regime: the potential impact on securities litigation
06 July 2021
Court of Appeal provides guidance on the "reflective loss" principle and its interaction with the Contracts (Rights of Third Parties) Act 1999
14 June 2021
CJEU considers issuer liability for prospectuses marketed to both retail and qualified investors
16 April 2021
High Court determines that reliance issues in context of a s.90A FSMA claim should be heard at first trial
29 March 2021
EU Advocate General considers interpretation of Prospectus Directive in relation to an issuer’s liability for a prospectus marketed to both retail and qualified investors
26 March 2021
Climate-related disclosures for issuers: further steps towards mandatory requirements?
In November 2020, the UK Joint Government Regulator TCFD Taskforce published its “roadmap towards mandatory climate-related disclosures”, which set out a …
10 March 2021
High Court strikes out s.90A FSMA claims for failure to comply with pre-service joinder rules following expiration of arguable limitation period
The High Court has struck out certain of the claims brought against G4S under section 90A Financial Services and Markets Act 2000 (FSMA), in a judgment …
11 January 2021
Climate-related disclosures for issuers: FCA publishes final rules
The Financial Conduct Authority (FCA) has published a Policy Statement (PS20/17) and final rules and guidance in relation to climate-related …
Showing 11 out of 11 results
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Rupert Lewis
Partner, Head of Banking Litigation, UK and EMEA, London
Chris Bushell
Partner, London
Ceri Morgan
Knowledge Counsel, London
Nihar Lovell
Knowledge Lawyer, London