The Mission Statement of
the Securities Litigation and Arbitration Committee encompasses the
following: (1) to stay abreast of legislative and case law
developments both in the Second Circuit and nationally, as they impact
the practice of securities litigation and to provide a forum where
insights on recent developments can be exchanged; (2) to provide
information, by way of articles, CLE programs with a range of
practitioners and regulators, and other media to educate NYSBA members
on securities litigation issues, both procedural and substantive; and
(3) to provide CLE programs dealing with securities arbitration and
mediation processes and issues as perceived by practitioners
specializing in this field.
The Securities Litigation and Arbitration Committee is
co-chaired by Jonathan L. Hochman, Schindler, Cohen & Hochman LLP,
New York City, and James D. Yellen, Yellen Arbitration and Mediation
Services, New York City.
Committee Activities * October 30, 2007
Program, At the Ramparts: Challenges in
Representing and Litigation with Public Companies in
Post-Dura/IPO
Sarbanes-Oxley Environment
* Novemer 29, 2007 Program, Securities Arbitration and
Mediation
Committee Reports Class
Action Cases: Proposal re Fixing Plaintiffs' Counsel
Fees (1996) Securities
Litigation Reform (1995) Securities
Exchange Act of 1934 and SEC Rule 10b-5 (1993)
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