Ethical Considerations for Securities Lawyers in New York Checklist | Practical Law

Ethical Considerations for Securities Lawyers in New York Checklist | Practical Law

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Ethical Considerations for Securities Lawyers in New York Checklist

Practical Law Checklist w-020-9239 (Approx. 10 pages)

Ethical Considerations for Securities Lawyers in New York Checklist

by Practical Law Securities Litigation & White Collar Crime
MaintainedNew York
A Checklist outlining the ethical issues that securities lawyers practicing in New York commonly face when representing clients before the Securities and Exchange Commission (SEC) or in private securities litigation. This Checklist focuses on counsel's obligations under SEC Rule 102(e), Part 205, and the New York Rules of Professional Conduct, including obligations concerning conflict of interest in client representation, certain discovery matters, and disclosure of misconduct.