Publication
August 01, 2001

Partner Craig C. Martin co-authored "The Fiduciary Duties of Institutional Investors in Securities Litigation," an article printed in the American Bar Association's The Business Lawyer, August 2001, Volume 56, Number 4.  The article discusses briefly the history of the PSLRA and the mechanisms by which an institutional investor, such as a pension plan, may take the lead role in securities fraud class action lawsuits under this Act.