In Re Enron Corp. Securities, Derivative & ERISA Lit.
District Court, S.D. Texas
1Opinion of the Court
MEMORANDUM AND ORDER
RE SECONDARY ACTORS’ MOTIONS TO DISMISS
HARMON, District Judge.
The above referenced putative class action, brought on behalf of purchasers of Enron Corporation’s publicly traded equity and debt securities during a proposed federal Class Period from October 19, 1998 through November 27, 2001, alleges securities violations (1) under Sections 11 and 15 of the Securities Act of 1938 (“1933 Act”), 15 U.S.C. §§ 77k and 77o; (2) under Sections 10(b), 20(a), and 20A of the Securities Exchange Act of 1934 (“Exchange Act” or “the 1934 Act”), 15 U.S.C. §§ 783(b), 78t(a), and 78t-l,…
2Cases cited173 opinions
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- Scheuer v. RhodesSupreme Court of the United States · 1974
- Ernst & Ernst v. HochfelderSupreme Court of the United States · 1976
- United States v. Mead Corp.Supreme Court of the United States · 2001
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