Arkin Solbakken LLP Successfully Defends Against Insider Trading Claims

Jul 1, 2015

The firm successfully defended its client, a CEO charged with violating Section 10(b) of the Securities Exchange Act of 1934, from insider trading claims – delivering FINRA’s Department of Market Regulation its first loss at trial in two years.  Stanley S. Arkin commented on the ruling, stating that the Panel “dealt intelligently with the core issue of materiality.”  The full article can be viewed here.