hedge funds

On May 8, 2012, the New York Court of Appeals held, in Sullivan v. Harnisch, that a hedge fund compliance officer who claimed he was fired for internally objecting to allegedly improper sales of stock by the company’s CEO did not have a cause of action for wrongful termination.  Specifically, the plaintiff alleged that he was…

Read More No Exception to “At Will” Rule For Hedge Fund Compliance Officer’s Internal Complaint
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