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Justices Considering Jurisdiction Over Foreign Parties [The Legal Intelligencer]

November 14, 2013

Publication - Appellate

The jurisdiction cases reviewed by the U.S. Supreme Court are rarely headline-grabbing. Nonetheless, those cases exert a significant effect on the civil litigation that fills the nation's dockets. This fall, the justices are considering two interesting cases from the U.S. Court of Appeals for the Ninth Circuit that may limit the ability of federal courts to exercise jurisdiction over parties in foreign districts.


Washington Bars Insurers from Maintaining Legal Malpractice Suit Against Policyholder Defense Counsel [Global Insurance Alert]

November 14, 2013

Publication - Insurance Coverage, Professional Liability Insurance Coverage - Insurance

In Stewart Title Guar. Co. v. Sterling Savings Bank, et al., Wash. No. 87087-0 (October 3, 2013), the Washington Supreme Court held that a nonclient insurer may not pursue a malpractice claim against appointed defense counsel for failure to assert defenses favorable to the insurer, unless the insurer could show it was an intended beneficiary of the legal services provided by appointed defense counsel. The court reasoned that neither an alignment of interest between an insurer and policyholder nor appointed counsel’s duty to inform the carrier regarding case activity, equated to a duty of care owed by appointed defense counsel to the appointing insurer. The court declined to reach the parties’ equitable subrogation arguments that formed the basis of the actual legal malpractice claim.


David Barron Offers Office Party Advice in BenefitsPro

November 14, 2013

News - Employment Litigation, Labor & Employment

In an article titled ''Oh no, not the office party again!'' David Barron, a member of Cozen O'Connor's Labor & Employment Department, offers advice on how to limit the potential fallout from an office party gone horribly wrong.


Electricity Not a Good for Administrative Priority Claims [Delaware Business Court Insider]

November 13, 2013

Publication - Bankruptcy, Insolvency & Restructuring

Is electricity a good for purposes of establishing an administrative priority claim under Section 503(b)(9) of the U.S. Bankruptcy Code? That is the question that U.S. Bankruptcy Judge Christopher Sontchi of the District of Delaware answers in In re NE Opco, Case No. 13-11483 (CSS) (Bankr. D. Del. Nov. 1, 2013). Faced with a split in authority from other jurisdictions and no written opinions on the subject in the U.S. Court of Appeals for the Third Circuit, Sontchi, in a fascinating opinion, holds that electricity is not a good for purposes of Section 503(b)(9).


Jennifer Brandt Appears on Fox 29 to Discuss New Jersey Powerball Winner

November 12, 2013

News - Family Law

Jennifer Brandt, a member of the firm’s Family Law Practice, was a guest on Fox 29 news to discuss the case of the New Jersey Powerball winner, Pedro Quezada, v. his ex-girlfriend, Ines Sanchez, who is trying to claim half of his lottery winnings of $338 million.


S.D.N.Y. Disqualifies Securities Class Action Plaintiffs’ Expert and Denies Class Certification [Global Insurance Alert]

November 12, 2013

Publication - Professional Liability Insurance Coverage - Insurance

Recently, in IBEW Local 90 Pension Fund v. Deutsche Bank AG, No. 11-cv-4209, 2013 U.S. Dist. LEXIS 155136 (S.D.N.Y. Oct. 29, 2013), District Judge Kathleen Forrest declined to certify a class of securities plaintiffs and granted the defendant, Deutsche Bank’s (DB), Daubert motion to exclude all testimony of the plaintiffs’ market efficiency and damages expert. This relatively rare ruling is significant for securities defendants and their D&O insurers. As the court observed, because the vast majority of securities cases settle once a class is certified, class certification has come to mark a “crucial inflection point in securities litigation.” The case highlights a significant hurdle that securities plaintiffs may face at the class certification stage. Moreover, the decision illustrates how foreign issuers in a post-Morrison environment may be further insulated from U.S. liability even as to that portion of their securities traded on a domestic exchange.


David Barron Discusses Holiday Party Misconduct in Society for Human Resource Management

November 11, 2013

News - Employment Litigation, Labor & Employment

In an article titled ''Out with Mistletoe, Spiked Punch and 'Santa's Little Helpers,''' David Barron, a member of Cozen O'Connor's Labor & Employment Department, discusses misconduct at company holiday parties.


Use-It-or-Lose-It Rule Modified for Health Care FSAs [Employee Benefits & Executive Compensation Alert]

November 11, 2013

Publication - Employee Benefits & Executive Compensation

The IRS has issued IRS Notice 2013-71, allowing limited carry-over of amounts in employees’ flex plan accounts to the following plan year. Under the guidance employers may permit participants to carry over up to $500 of unused amounts in their health care flexible spending account into the next plan year.


Mark Gallant and Robert Chu Mentioned in Law360 for Representing the University of Pennsylvania Health System

November 06, 2013

News - Health Care & Life Sciences

Mark Gallant, chair of the Health Care Practice Group, and Robert Chu, of the Health Care Practice Group, were recently mentioned in a Law360 article for representing UPenn Health Systems.


Stephen Miller Discusses SAC Capital Advisors in Bloomberg

November 05, 2013

News - Securities Litigation & SEC Enforcement, White Collar Defense & Investigations

In an article titled “SAC Agrees to Plead Guilty to End Insider Trading Case,” Stephen Miller, of Cozen O’Connor’s Commercial Litigation Department, discusses SAC Capital Advisors LP, the hedge fund accused of fostering a culture of rampant insider trading. SAC has recently agreed to plead guilty to securities fraud and wire fraud, pay a record $1.8 billion and shutter its investment advisory business.


Girard Estate Is a State Agency Immune From Tax [Tax Alert]

November 05, 2013

Publication - Tax

The Pennsylvania Supreme Court reversed the Commonwealth Court and held that property owned by the Board of City Trusts acting as trustee under the will of Stephen H. Girard was immune from real estate taxation because the trust is a state agency. City of Philadelphia, Trustee v. Cumberland County Board of Assessment Appeals, No. 902 MAP 2011 (Pa. Oct. 30, 2013). The court was unanimous in the result; two justices filed a concurring opinion.


Stephen Cozen Represented the City and Board of City Trusts in Win Before the PA Supreme Court

November 04, 2013

News - Appellate

Steve Cozen achieved a major victory before the Pennsylvania Supreme Court on behalf of the Board of City Trusts and the city of Philadelphia. In an unanimous decision, the Pennsylvania Supreme Court held that Girard Estate is tax immune and as a consequence hundreds of millions of dollars of tax exempt bonds are no longer in limbo.


Ken Fisher Quoted in the New York Law Journal Regarding Brooklyn DA Candidates

November 04, 2013

News

Ken Fisher, of the Real Estate Practice Group, was quoted in a New York Law Journal article titled,


Real Estate Tax Appeal Remanded [Tax Alert]

October 31, 2013

Publication - Tax

A panel of the Commonwealth Court remanded a decision by the Montgomery County Court of Common Pleas for specific findings on certain aspects of a valuation for real estate tax purposes. 36 Township Line Storage, L.P. v. Montgomery County Board of Assessment Appeals, No. 1540 C.D. 2012 (Pa Commw. Oct. 18, 2013) (unreported). The court remanded, on the grounds of the now black-letter rule that a court may adopt some, a portion, or all of an expert’s report that it finds credible, but must explain which parts its relies upon so that a review in court can determine whether the conclusion is reasonably based on the record.


Goldman Ordered to Advance Defense Fees for Former Employee Accused of Stealing Computer Codes [Global Insurance Alert]

October 31, 2013

Publication - Insurance Coverage, Professional Liability Insurance Coverage - Insurance

On October 16, 2013, the U.S. District Court for the District of New Jersey, in Aleynikov v. The Goldman Sachs Group, Inc., found that a former vice president and computer programmer was an “officer” of Goldman Sachs & Co., Inc. (GSCo), and therefore eligible for advancement of legal fees and expenses for his ongoing defense in a New York state criminal case, even though the criminal action concerned the theft of confidential GSCo property. The decision provides an interesting lesson in the differences between indemnification and advancement and who may be considered an officer for purposes of awarding indemnity and advancement.


Jennifer Brandt Appears on Your World with Neil Cavuto

October 30, 2013

News - Family Law

Jennifer Brandt, a member of the firm’s Family Law Practice, was a guest on Your World with Neil Cavuto on the Fox News Network. Jennifer discussed the National Library of Medicine’s, a division of the Department of Health and Human Services, announcement that they will begin “mining” social media for information on health behavior.


Cozen O’Connor Launches International Arbitration Practice Group

October 30, 2013

Press Release - International, International Arbitration

The International Arbitration Practice Group is newly formed to recognize the firm’s expanding capabilities in this area. This move recognizes expanded capabilities with the addition of Martin Gusy and Matthew Weldon in New York. The practice extends from New York to London and Continental Europe.


Peter Lynch to be Inducted to the Illinois State University 2013 College of Applied Science and Technology Hall of Fame

October 28, 2013

News

Peter Lynch has been selected as an inductee into the Illinois State University 2013 College of Applied Science and Technology Hall of Fame. Peter was chosen due to his impressive professional achievements and service to others. He will be officially inducted during an induction ceremony on Friday, November 8, 2013.


Joseph Rich to be Awarded at the Homeless Advocacy Project’s Award Ceremony

October 28, 2013

News

Joseph Rich will be honored at the Homeless Advocacy Project’s Award Ceremony on Tuesday, October 29, 2013 in recognition of his extraordinary work providing legal services to homeless men, women and children of Philadelphia.


Alabama Supreme Court Corrects the Perception that a Alabama Law Contemplates Two Bad Faith Torts [Global Insurance Alert]

October 24, 2013

Publication - Bad Faith, Insurance Coverage - Insurance

In Brechbill v. State Farm Fire & Cas. Co., No. 1111117, ___ So. 3d ___, 2013 WL 5394444, 2013 Ala. LEXIS 126 (Ala. Sept. 27, 2013), the Alabama Supreme Court held that there is only one, as opposed to two, causes of action for bad faith. More important, the Alabama Supreme Court held that a bad faith claim, no matter how plead, will not survive when an insurer can show a debatable reason for the denial.

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