CITE

    15 USC Sec. 77z-1                                           01/08/2008

EXPCITE

    TITLE 15 - COMMERCE AND TRADE
    CHAPTER 2A - SECURITIES AND TRUST INDENTURES
    SUBCHAPTER I - DOMESTIC SECURITIES

HEAD

    Sec. 77z-1. Private securities litigation

STATUTE

    (a) Private class actions
      (1) In general
        The provisions of this subsection shall apply to each private
      action arising under this subchapter that is brought as a
      plaintiff class action pursuant to the Federal Rules of Civil
      Procedure.
      (2) Certification filed with complaint
        (A) In general
          Each plaintiff seeking to serve as a representative party on
        behalf of a class shall provide a sworn certification, which
        shall be personally signed by such plaintiff and filed with the
        complaint, that -
            (i) states that the plaintiff has reviewed the complaint
          and authorized its filing;
            (ii) states that the plaintiff did not purchase the
          security that is the subject of the complaint at the
          direction of plaintiff's counsel or in order to participate
          in any private action arising under this subchapter;
            (iii) states that the plaintiff is willing to serve as a
          representative party on behalf of a class, including
          providing testimony at deposition and trial, if necessary;
            (iv) sets forth all of the transactions of the plaintiff in
          the security that is the subject of the complaint during the
          class period specified in the complaint;
            (v) identifies any other action under this subchapter,
          filed during the 3-year period preceding the date on which
          the certification is signed by the plaintiff, in which the
          plaintiff has sought to serve, or served, as a representative
          party on behalf of a class; and
            (vi) states that the plaintiff will not accept any payment
          for serving as a representative party on behalf of a class
          beyond the plaintiff's pro rata share of any recovery, except
          as ordered or approved by the court in accordance with
          paragraph (4).
        (B) Nonwaiver of attorney-client privilege
          The certification filed pursuant to subparagraph (A) shall
        not be construed to be a waiver of the attorney-client
        privilege.
      (3) Appointment of lead plaintiff
        (A) Early notice to class members
          (i) In general
            Not later than 20 days after the date on which the
          complaint is filed, the plaintiff or plaintiffs shall cause
          to be published, in a widely circulated national business-
          oriented publication or wire service, a notice advising
          members of the purported plaintiff class -
              (I) of the pendency of the action, the claims asserted
            therein, and the purported class period; and
              (II) that, not later than 60 days after the date on which
            the notice is published, any member of the purported class
            may move the court to serve as lead plaintiff of the
            purported class.
          (ii) Multiple actions
            If more than one action on behalf of a class asserting
          substantially the same claim or claims arising under this
          subchapter is filed, only the plaintiff or plaintiffs in the
          first filed action shall be required to cause notice to be
          published in accordance with clause (i).
          (iii) Additional notices may be required under Federal rules
            Notice required under clause (i) shall be in addition to
          any notice required pursuant to the Federal Rules of Civil
          Procedure.
        (B) Appointment of lead plaintiff
          (i) In general
            Not later than 90 days after the date on which a notice is
          published under subparagraph (A)(i), the court shall consider
          any motion made by a purported class member in response to
          the notice, including any motion by a class member who is not
          individually named as a plaintiff in the complaint or
          complaints, and shall appoint as lead plaintiff the member or
          members of the purported plaintiff class that the court
          determines to be most capable of adequately representing the
          interests of class members (hereafter in this paragraph
          referred to as the "most adequate plaintiff") in accordance
          with this subparagraph.
          (ii) Consolidated actions
            If more than one action on behalf of a class asserting
          substantially the same claim or claims arising under this
          subchapter has been filed, and any party has sought to
          consolidate those actions for pretrial purposes or for trial,
          the court shall not make the determination required by clause
          (i) until after the decision on the motion to consolidate is
          rendered. As soon as practicable after such decision is
          rendered, the court shall appoint the most adequate plaintiff
          as lead plaintiff for the consolidated actions in accordance
          with this subparagraph.
          (iii) Rebuttable presumption
            (I) In general
              Subject to subclause (II), for purposes of clause (i),
            the court shall adopt a presumption that the most adequate
            plaintiff in any private action arising under this
            subchapter is the person or group of persons that -
                (aa) has either filed the complaint or made a motion in
              response to a notice under subparagraph (A)(i);
                (bb) in the determination of the court, has the largest
              financial interest in the relief sought by the class; and
                (cc) otherwise satisfies the requirements of Rule 23 of
              the Federal Rules of Civil Procedure.
            (II) Rebuttal evidence
              The presumption described in subclause (I) may be
            rebutted only upon proof by a member of the purported
            plaintiff class that the presumptively most adequate
            plaintiff -
                (aa) will not fairly and adequately protect the
              interests of the class; or
                (bb) is subject to unique defenses that render such
              plaintiff incapable of adequately representing the class.
          (iv) Discovery
            For purposes of this subparagraph, discovery relating to
          whether a member or members of the purported plaintiff class
          is the most adequate plaintiff may be conducted by a
          plaintiff only if the plaintiff first demonstrates a
          reasonable basis for a finding that the presumptively most
          adequate plaintiff is incapable of adequately representing
          the class.
          (v) Selection of lead counsel
            The most adequate plaintiff shall, subject to the approval
          of the court, select and retain counsel to represent the
          class.
          (vi) Restrictions on professional plaintiffs
            Except as the court may otherwise permit, consistent with
          the purposes of this section, a person may be a lead
          plaintiff, or an officer, director, or fiduciary of a lead
          plaintiff, in no more than 5 securities class actions brought
          as plaintiff class actions pursuant to the Federal Rules of
          Civil Procedure during any 3-year period.
      (4) Recovery by plaintiffs
        The share of any final judgment or of any settlement that is
      awarded to a representative party serving on behalf of a class
      shall be equal, on a per share basis, to the portion of the final
      judgment or settlement awarded to all other members of the class.
      Nothing in this paragraph shall be construed to limit the award
      of reasonable costs and expenses (including lost wages) directly
      relating to the representation of the class to any representative
      party serving on behalf of the class.
      (5) Restrictions on settlements under seal
        The terms and provisions of any settlement agreement of a class
      action shall not be filed under seal, except that on motion of
      any party to the settlement, the court may order filing under
      seal for those portions of a settlement agreement as to which
      good cause is shown for such filing under seal. For purposes of
      this paragraph, good cause shall exist only if publication of a
      term or provision of a settlement agreement would cause direct
      and substantial harm to any party.
      (6) Restrictions on payment of attorneys' fees and expenses
        Total attorneys' fees and expenses awarded by the court to
      counsel for the plaintiff class shall not exceed a reasonable
      percentage of the amount of any damages and prejudgment interest
      actually paid to the class.
      (7) Disclosure of settlement terms to class members
        Any proposed or final settlement agreement that is published or
      otherwise disseminated to the class shall include each of the
      following statements, along with a cover page summarizing the
      information contained in such statements:
        (A) Statement of plaintiff recovery
          The amount of the settlement proposed to be distributed to
        the parties to the action, determined in the aggregate and on
        an average per share basis.
        (B) Statement of potential outcome of case
          (i) Agreement on amount of damages
            If the settling parties agree on the average amount of
          damages per share that would be recoverable if the plaintiff
          prevailed on each claim alleged under this subchapter, a
          statement concerning the average amount of such potential
          damages per share.
          (ii) Disagreement on amount of damages
            If the parties do not agree on the average amount of
          damages per share that would be recoverable if the plaintiff
          prevailed on each claim alleged under this subchapter, a
          statement from each settling party concerning the issue or
          issues on which the parties disagree.
          (iii) Inadmissibility for certain purposes
            A statement made in accordance with clause (i) or (ii)
          concerning the amount of damages shall not be admissible in
          any Federal or State judicial action or administrative
          proceeding, other than an action or proceeding arising out of
          such statement.
        (C) Statement of attorneys' fees or costs sought
          If any of the settling parties or their counsel intend to
        apply to the court for an award of attorneys' fees or costs
        from any fund established as part of the settlement, a
        statement indicating which parties or counsel intend to make
        such an application, the amount of fees and costs that will be
        sought (including the amount of such fees and costs determined
        on an average per share basis), and a brief explanation
        supporting the fees and costs sought.
        (D) Identification of lawyers' representatives
          The name, telephone number, and address of one or more
        representatives of counsel for the plaintiff class who will be
        reasonably available to answer questions from class members
        concerning any matter contained in any notice of settlement
        published or otherwise disseminated to the class.
        (E) Reasons for settlement
          A brief statement explaining the reasons why the parties are
        proposing the settlement.
        (F) Other information
          Such other information as may be required by the court.
      (8) Attorney conflict of interest
        If a plaintiff class is represented by an attorney who directly
      owns or otherwise has a beneficial interest in the securities
      that are the subject of the litigation, the court shall make a
      determination of whether such ownership or other interest
      constitutes a conflict of interest sufficient to disqualify the
      attorney from representing the plaintiff class.
    (b) Stay of discovery; preservation of evidence
      (1) In general
        In any private action arising under this subchapter, all
      discovery and other proceedings shall be stayed during the
      pendency of any motion to dismiss, unless the court finds, upon
      the motion of any party, that particularized discovery is
      necessary to preserve evidence or to prevent undue prejudice to
      that party.
      (2) Preservation of evidence
        During the pendency of any stay of discovery pursuant to this
      subsection, unless otherwise ordered by the court, any party to
      the action with actual notice of the allegations contained in the
      complaint shall treat all documents, data compilations (including
      electronically recorded or stored data), and tangible objects
      that are in the custody or control of such person and that are
      relevant to the allegations, as if they were the subject of a
      continuing request for production of documents from an opposing
      party under the Federal Rules of Civil Procedure.
      (3) Sanction for willful violation
        A party aggrieved by the willful failure of an opposing party
      to comply with paragraph (2) may apply to the court for an order
      awarding appropriate sanctions.
      (4) Circumvention of stay of discovery
        Upon a proper showing, a court may stay discovery proceedings
      in any private action in a State court as necessary in aid of its
      jurisdiction, or to protect or effectuate its judgments, in an
      action subject to a stay of discovery pursuant to this
      subsection.
    (c) Sanctions for abusive litigation
      (1) Mandatory review by court
        In any private action arising under this subchapter, upon final
      adjudication of the action, the court shall include in the record
      specific findings regarding compliance by each party and each
      attorney representing any party with each requirement of Rule
      11(b) of the Federal Rules of Civil Procedure as to any
      complaint, responsive pleading, or dispositive motion.
      (2) Mandatory sanctions
        If the court makes a finding under paragraph (1) that a party
      or attorney violated any requirement of Rule 11(b) of the Federal
      Rules of Civil Procedure as to any complaint, responsive
      pleading, or dispositive motion, the court shall impose sanctions
      on such party or attorney in accordance with Rule 11 of the
      Federal Rules of Civil Procedure. Prior to making a finding that
      any party or attorney has violated Rule 11 of the Federal Rules
      of Civil Procedure, the court shall give such party or attorney
      notice and an opportunity to respond.
      (3) Presumption in favor of attorneys' fees and costs
        (A) In general
          Subject to subparagraphs (B) and (C), for purposes of
        paragraph (2), the court shall adopt a presumption that the
        appropriate sanction -
            (i) for failure of any responsive pleading or dispositive
          motion to comply with any requirement of Rule 11(b) of the
          Federal Rules of Civil Procedure is an award to the opposing
          party of the reasonable attorneys' fees and other expenses
          incurred as a direct result of the violation; and
            (ii) for substantial failure of any complaint to comply
          with any requirement of Rule 11(b) of the Federal Rules of
          Civil Procedure is an award to the opposing party of the
          reasonable attorneys' fees and other expenses incurred in the
          action.
        (B) Rebuttal evidence
          The presumption described in subparagraph (A) may be rebutted
        only upon proof by the party or attorney against whom sanctions
        are to be imposed that -
            (i) the award of attorneys' fees and other expenses will
          impose an unreasonable burden on that party or attorney and
          would be unjust, and the failure to make such an award would
          not impose a greater burden on the party in whose favor
          sanctions are to be imposed; or
            (ii) the violation of Rule 11(b) of the Federal Rules of
          Civil Procedure was de minimis.
        (C) Sanctions
          If the party or attorney against whom sanctions are to be
        imposed meets its burden under subparagraph (B), the court
        shall award the sanctions that the court deems appropriate
        pursuant to Rule 11 of the Federal Rules of Civil Procedure.
    (d) Defendant's right to written interrogatories
      In any private action arising under this subchapter in which the
    plaintiff may recover money damages only on proof that a defendant
    acted with a particular state of mind, the court shall, when
    requested by a defendant, submit to the jury a written
    interrogatory on the issue of each such defendant's state of mind
    at the time the alleged violation occurred.

SOURCE

    (May 27, 1933, ch. 38, title I, Sec. 27, as added Pub. L. 104-67,
    title I, Sec. 101(a), Dec. 22, 1995, 109 Stat. 737; amended Pub. L.
    105-353, title I, Sec. 101(a)(2), title III, Sec. 301(a)(5), Nov.
    3, 1998, 112 Stat. 3230, 3235.)

REFERENCES IN TEXT

      The Federal Rules of Civil Procedure, referred to in subsecs.
    (a)(1), (3)(A)(iii), (B)(iii)(I)(cc), (vi), (b)(2), and (c), are
    set out in the Appendix to Title 28, Judiciary and Judicial
    Procedure.

AMENDMENTS

      1998 - Pub. L. 105-353, Sec. 301(a)(5), made technical correction
    relating to placement of section in subchapter.
      Subsec. (b)(4). Pub. L. 105-353, Sec. 101(a)(2), added par. (4).
                     EFFECTIVE DATE OF 1998 AMENDMENT
      Amendment by section 101(a)(2) of Pub. L. 105-353 not to affect
    or apply to any action commenced before and pending on Nov. 3,
    1998, see section 101(c) of Pub. L. 105-353, set out as a note
    under section 77p of this title.
                              EFFECTIVE DATE
      Section not to affect or apply to any private action arising
    under this subchapter or title I of the Securities Exchange Act of
    1934 (15 U.S.C. 78a et seq.), commenced before and pending on Dec.
    22, 1995, see section 108 of Pub. L. 104-67, set out as an
    Effective Date of 1995 Amendment note under section 77l of this
    title.
                               CONSTRUCTION
      Nothing in section to be deemed to create or ratify any implied
    right of action, or to prevent Commission, by rule or regulation,
    from restricting or otherwise regulating private actions under
    Securities Exchange Act of 1934 (15 U.S.C. 78a et seq.), see
    section 203 of Pub. L. 104-67, set out as a note under section 78j-
    1 of this title.
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