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Case Name | Citation(s) | Court | Jurisdiction | Date † | Full Text | Citation Index | |
Johnston v McGrath |
[2005] NSWSC 1183; |
Supreme Court of New South Wales | Australia - New South Wales | 23 Nov 2005 | AustLII |
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Sons of Gwalia Ltd v Margaretic |
[2005] FCA 1305; |
Federal Court of Australia | Australia - Commonwealth | 15 Sep 2005 | AustLII |
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Re Media World Communications Ltd |
[2005] FCA 51; |
Federal Court of Australia | Australia - Commonwealth | 31 Jan 2005 | AustLII |
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"Proportionate Liability in Australia: The Devil in the Detail" |
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Australian Bar Review | Australia | circa 2005 | LexisNexis AU |
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(2005) 55 ACSR 145 |
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Australia | circa 2005 | LexisNexis AU |
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Australian Securities and Investments Commission v Aboriginal Community Benefit Fund Pty Ltd |
[2004] FCA 963; |
Federal Court of Australia | Australia - Commonwealth | 26 Jul 2004 | AustLII |
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Dorajay Pty Ltd v Aristocrat Leisure Ltd | [2004] FCA 634 | Federal Court of Australia | Australia - Commonwealth | 20 May 2004 | AustLII |
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au Domain Administration Ltd v Domain Names Australia Pty Ltd |
[2004] FCA 424; |
Federal Court of Australia | Australia - Commonwealth | 8 Apr 2004 | AustLII |
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Johnstone v HIH Ltd | [2004] FCA 190 | Federal Court of Australia | Australia - Commonwealth | 5 Mar 2004 | AustLII |
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Murphy v Overton Investments Pty Ltd |
[2004] HCA 3; |
High Court of Australia | Australia - Commonwealth | 5 Feb 2004 | AustLII |
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Collette v Great Pacific Management Co |
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Canada - British Columbia | circa 2004 |
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National Exchange Pty Ltd v Australian Securities and Investments Commission |
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Australia | circa 2004 | LexisNexis AU |
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Shaw v BCE Inc |
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Canada | circa 2004 |
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Australian Securities and Investments Commission v Southcorp Ltd (No 2) |
[2003] FCA 1369; |
Federal Court of Australia | Australia - Commonwealth | 27 Nov 2003 | AustLII |
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King v AG Australia Holdings Ltd (formerly GIO Australia Holdings Ltd) | [2003] FCA 980 | Federal Court of Australia | Australia - Commonwealth | 17 Sep 2003 | AustLII |
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King v AG Australia Holdings Ltd | [2003] FCA 652 | Federal Court of Australia | Australia - Commonwealth | 24 Jun 2003 | AustLII |
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"Reverberations After the HIH and Other Recent Australian Corporate Collapses: The Role of ASIC" | (2003) 15 Australian Journal of Corporate Law 225 | Australian Journal of Corporate Law | Australia | circa 2003 | LexisNexis AU |
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"Proportionate Liability: A Disproportionate and Problematic Reform" |
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Plaintiff | Australia | circa 2003 | Informit |
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"Australia's Corporate Disclosure Regime: Lessons from the US Model" | (2003) 15 Australian Journal of Corporate Law 81 | Australian Journal of Corporate Law | Australia | circa 2003 | LexisNexis AU |
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Medibank Private Ltd v Cassidy |
[2002] FCAFC 290; |
Federal Court of Australia | Australia - Commonwealth | 13 Sep 2002 | AustLII |
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West v Prudential Securities Incorporated | 282 F3d 935 | United States Court of Appeals, Seventh Circuit | United States | 7 Mar 2002 | WorldLII |
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"s Civil Penalty Litigation?" | (2002) 20 Company and Securities Law Journal 302 | Company and Securities Law Journal | Australia | circa 2002 | Legal Online |
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"Securities Class Actions: A View from the Land of the Great White Shareholder" | (2002) 31 Common Law World Review 123 | Common Law World Review | United Kingdom | circa 2002 | LexisNexis |
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GPG (Australia Trading) Pty Ltd v GIO Australia Holdings Ltd |
[2001] FCA 1761; |
Federal Court of Australia | Australia - Commonwealth | 11 Dec 2001 | AustLII |
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R v Firns |
[2001] NSWCCA 191; |
Supreme Court of New South Wales - Court of Criminal Appeal | Australia - New South Wales | 21 May 2001 | AustLII |
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King v GIO Australia Holdings Ltd |
[2001] FCA 308; |
Federal Court of Australia | Australia - Commonwealth | 3 Apr 2001 | AustLII |
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(2001) 86 BCLR (3d) 92 |
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Canada - British Columbia | circa 2001 |
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Fisherman |
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Canada | circa 2001 |
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"The Class Struggle" |
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Plaintiff | Australia | circa 2001 | Informit |
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King v GIO Australia Holdings Ltd |
[2000] FCA 617; |
Federal Court of Australia | Australia - Commonwealth | 12 May 2000 | AustLII |
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Campomar Sociedad, Limitada v Nike International Ltd |
[2000] HCA 12; |
High Court of Australia | Australia - Commonwealth | 9 Mar 2000 | AustLII |
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NBD Bank Canada v Dofasco Inc |
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Canada | circa 2000 |
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King v GIO Australia Holdings Ltd | [2000] FCA 1543 | Federal Court of Australia | Australia - Commonwealth | circa 2000 | AustLII |
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Anema E Core Pty Ltd v Aromas Pty Ltd | [1999] FCA 904 | Federal Court of Australia | Australia - Commonwealth | 5 Jul 1999 | AustLII |
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Australian Securities and Investments Commission v Yandal Gold Pty Ltd |
[1999] FCA 799; |
Federal Court of Australia | Australia - Commonwealth | 16 Jun 1999 | AustLII |
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McCarthy v McIntyre | [1999] FCA 784 | Federal Court of Australia | Australia - Commonwealth | 11 Jun 1999 | AustLII |
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Carom v Bre-X Minerals Ltd |
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Canada - Ontario | circa 1999 |
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Sykes v Reserve Bank of Australia |
[1998] FCA 1405; |
Federal Court of Australia | Australia - Commonwealth | 6 Nov 1998 | AustLII |
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Bre-X |
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Canada - Ontario | circa 1998 |
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Permanent Trustee Australia Ltd v FAI General Insurance Co Ltd |
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Australia | circa 1998 | LexisNexis AU |
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Naxakis v Western General Hospital |
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Australia - Commonwealth | circa 1998 | Legal Online / Westlaw |
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Como Investments Pty Ltd (In Liq) v Yenald Nominees Pty Ltd |
[1997] FCA 12; |
Federal Court of Australia | Australia - Commonwealth | 24 Jan 1997 | AustLII |
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Kripps v Touche Ross & Co |
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Canada | circa 1997 |
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Meadow Gem Pty Ltd v ANZ Executors & Trustee Co Ltd |
[1996] VicRp 53; |
Australia - Victoria | 5 Feb 1996 | AustLII |
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Clyde Industries Pty Ltd v Golden West Refining Corporation Ltd |
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Australia | circa 1996 |
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Australian Securities Commission v Deloitte Touche Tohmatsu |
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Federal Court of Australia | Australia | circa 1996 | Legal Online / Westlaw |
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Meadow Gem Pty Ltd v ANZ Executors & Trustee Co Ltd |
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Australia | circa 1995 | IntelliConnect |
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Abdool v Anaheim Management Ltd |
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Canada - Ontario | circa 1995 |
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(1995) 17 Atpr (Digest) 46-147 |
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Australia | circa 1995 |
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Sellars v Adelaide Petroleum NL |
[1994] HCA 4; |
High Court of Australia | Australia - Commonwealth | circa 1994 | AustLII |
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Role of Financial Economics in Securities Fraud Cases: Applications at the Securities and Exchange Commission |
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Business Lawyer | United States | circa 1994 | HeinOnline |
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Webb Distributors (Aust) Pty Ltd v Victoria |
[1993] HCA 61; |
High Court of Australia | Australia - Commonwealth | 10 Nov 1993 | AustLII |
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Demagogue Pty Ltd v Ramensky |
[1992] FCA 557; |
Federal Court of Australia | Australia - Commonwealth | 20 Nov 1992 | AustLII |
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Wardley Australia Ltd v Western Australia |
[1992] HCA 55; |
High Court of Australia | Australia - Commonwealth | 28 Oct 1992 | AustLII |
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(1992) 37 FCR 526 |
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Federal Court of Australia | Australia | circa 1992 | Legal Online / Westlaw |
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Kripps v Touche Ross & Co |
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Canada | circa 1992 |
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Commonwealth v Amann Aviation Pty Ltd |
[1991] HCA 54; |
High Court of Australia | Australia - Commonwealth | 12 Dec 1991 | AustLII |
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Malec v JC Hutton Pty Ltd |
[1990] HCA 20; |
High Court of Australia | Australia - Commonwealth | circa 1990 | AustLII |
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Kripps v Touche Ross & Co |
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Canada - British Columbia | circa 1990 |
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Basic Inc v Levinson |
485 US 224; |
United States Supreme Court | United States | 7 Mar 1988 | WorldLII |
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San Sebastian Pty Ltd v Minister Administering Environmental Planning Act |
[1986] HCA 68; |
High Court of Australia | Australia - Commonwealth | 25 Nov 1986 | AustLII |
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Rhone-Poulenc Agrochimie SA v UIM Chemical Services Pty Ltd |
[1986] FCA 218; |
Federal Court of Australia | Australia - Commonwealth | 8 Jul 1986 | AustLII |
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Gould v Vaggelas |
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Australia | circa 1984 | IntelliConnect |
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Taco Co of Australia Inc v Taco Bell Pty Ltd |
[1982] FCA 136; |
Federal Court of Australia | Australia - Commonwealth | 22 Jul 1982 | AustLII |
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Panzirer v Wolf | 663 F2d 365 | United States Court of Appeals, Second Circuit | United States | 28 Oct 1981 | WorldLII |
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Wilson v Comtech Telecommunications Corporation | 648 F2d 88 | United States Court of Appeals, Second Circuit | United States | 29 Apr 1981 | WorldLII |
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Zweig v Hearst Corporation | 594 F2d 1261 | United States Court of Appeals, Ninth Circuit | United States | 9 Apr 1979 | WorldLII |
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"Efficient Capital Market Theory, the Market for Corporate Control, and the Regulation of Cash Tender Offers" |
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Texas Law Review | United States | circa 1978 | HeinOnline / LexisNexis |
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Arthur Young & Co v United States District Court | 549 F2d 686 | United States Court of Appeals, Ninth Circuit | United States | 4 Mar 1977 | WorldLII |
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"The Efficient Capital Market Hypothesis, Economic Theory and the Regulation of the Securities Industry" |
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Stanford Law Review | United States | circa 1977 | HeinOnline / LexisNexis |
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TSC Industries, Inc v Northway, Inc |
426 US 438; |
United States Supreme Court | United States | 14 Jun 1976 | WorldLII |
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Blackie v Barrack | 524 F2d 891 | United States Court of Appeals, Ninth Circuit | United States | 25 Sep 1975 | WorldLII |
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Shapiro v Merrill Lynch, Pierce, Fenner & Smith, Inc | 495 F2d 228 | United States Court of Appeals, Second Circuit | United States | 3 Apr 1974 | WorldLII |
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Chris-Craft Industries, Inc v Piper Aircraft Corporation |
480 F2d 341; |
United States Court of Appeals, Second Circuit | United States | 16 Mar 1973 | WorldLII |
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Affiliated Ute Citizens v United States |
406 US 128; |
United States Supreme Court | United States | 12 Jun 1972 | WorldLII |
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Superintendent of Insurance v Bankers Life & Casualty Co |
404 US 6; |
United States Supreme Court | United States | 8 Nov 1971 | WorldLII |
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No 175-68 | 431 F2d 1349 | United States Court of Appeals, Tenth Circuit | United States | 12 Nov 1970 | WorldLII |
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List v Fashion Park, Inc |
340 F2d 457; |
United States Court of Appeals, Second Circuit | United States | 4 Jan 1965 | WorldLII |
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SEC v Capital Gains Research Bureau, Inc |
375 US 180; |
United States Supreme Court | United States | 9 Dec 1963 | WorldLII |
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Potts v Miller |
[1940] HCA 43; |
High Court of Australia | Australia - Commonwealth | 12 Dec 1940 | AustLII |
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‘ necessary in order to make the statements made, in the light of the circumstances under which they were made, not misleading ’ |
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Court of Chancery | United Kingdom | circa 1934 | LexisNexis / Westlaw |
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Smith v Chadwick |
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United Kingdom | circa 1884 | LexisNexis / Westlaw |
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Houldsworth v City of Glasgow Bank |
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United Kingdom | circa 1880 | LexisNexis / Westlaw |
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Mitchell v Texas Gulf Sulphur Co |
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United States | circa 1986 | Westlaw |
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Richardson v Spahr |
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United States Supreme Court | United States | circa 1986 | Westlaw |
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Touche Ross & Co v Barrack |
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United States Supreme Court | United States | circa 1986 | Westlaw |
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Aleman v United States |
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United States Supreme Court | United States | circa 1986 | Westlaw |
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Green v Wolf Corporation |
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United States | circa 1986 | Westlaw |
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List v Lerner |
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United States Supreme Court | United States | circa 1986 | Westlaw |
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Reeder v Mastercraft Elecs Corporation |
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United States | circa 1986 | Westlaw |
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"The Fraud-on-the-Market Theory" |
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Harvard Law Review | United States | circa 1986 | HeinOnline / LexisNexis |
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"The Reliance Requirement in Private Actions under Rule 10b-5" |
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Harvard Law Review | United States | circa 1986 | HeinOnline / LexisNexis |
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Kardon v National Gypsum Co |
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United States | circa 1986 | Westlaw |
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Somerville v Australian Securities Commission |
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Federal Court of Australia | Australia | circa 1986 | Legal Online / Westlaw |
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"Use of Modern Finance Theory in Securities Fraud Cases Involving Actively Traded Securities" |
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Business Lawyer | United States | circa 1986 | HeinOnline |
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