Securities Law Alert, December 2012
Simpson Thacher
December 21, 2012
18 pages
In this Issue:
- The Sixth Circuit Affirms Dismissal of Negligent Misrepresentation Claims against Three Major Rating Agencies
- The Southern District of New York Addresses the Standard for Remote Tippee Liability in Insider Trading Prosecutions
- Ten Notable Circuit Court Decisions of 2012



![Bingham: Sixth Circuit Court of Appeals Creates Split Among Circuits for Pleading False Statements of Opinion or Belief for Section 11 Claims [Indiana State Dist. Council of Laborers & HOD Carriers Pension & Welfare Fund v. Omnicare, Inc]](/modules/mod_raxo_allmode/tools/tb.php?src=/images/stories/BinghamLogo.gif&w=120&h=72&zc=1)













![Mayer Brown: The Edge Act Confers Federal Jurisdiction According to US District Court for the Southern District of New York [Dexia SA/NV v. Bear Stearns]](/modules/mod_raxo_allmode/tools/tb.php?src=/images/stories/MayerBrownLogo.gif&w=120&h=72&zc=1)
![Baker Hostetler: Third Circuit Holds Rule 10b-5 Violations May Be Imputed to Investment Management Company on Basis of Apparent Agency [Belmont v. MB Investment Partners, Inc]](/modules/mod_raxo_allmode/tools/tb.php?src=/images/stories/BakerHostetlerLogo.gif&w=120&h=72&zc=1)






