Snapshot from Aug 25, 2026 at 07:00 UTC. For live data and tracking: View Live

United States — United States Securities and Exchange Commission & Robbins LLP

48 shared events · Importance 26 · Last updated Aug 25, 2026

Importance
26
Shared Events
48
Actions
0
Sentiment
0.18251880998123837
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59
Business
United States — United States Securities and Exchange Commission: The United States — United States Securities and Exchange Commission is the regulatory body with which BitGo filed its registration statement and prospectus in connection with its IPO, and is the authority overseeing the alleged securities law violations.
Robbins LLP: Robbins LLP is a law firm that has informed stockholders about a class action lawsuit filed against BitGo for misleading investors.
Apr 09, 2026 · 347 articles
57
Business
United States — United States Securities and Exchange Commission: The United States — United States Securities and Exchange Commission received a letter from Grant Thornton Bharat disputing Simulations Plus' disclosure regarding the auditor's dismissal, indicating regulatory oversight of the situation.
Robbins LLP: Robbins LLP is a shareholder rights law firm investigating Simulations Plus for potential securities law violations and breaches of fiduciary duties by its officers and directors.
Jun 01, 2026 · 42 articles
55
Regulatory
United States — United States Securities and Exchange Commission: The SEC's Whistleblower Program is referenced as a channel for reporting non-public information about Microvast, indicating potential regulatory scrutiny.
Robbins LLP: Filed a class action and is reminding investors of the deadline. It benefits from potential recovery.
Jul 22, 2026 · 136 articles
53
Business
United States — United States Securities and Exchange Commission: The United States — United States Securities and Exchange Commission is the regulatory body under whose rules Lucid Motors is alleged to have violated, leading to the class action lawsuits.
Robbins LLP: Robbins LLP informs stockholders that a class action was filed on behalf of investors who purchased Lucid Motors securities.
May 30, 2026 · 308 articles
49
Regulatory
United States — United States Securities and Exchange Commission: The SEC is the regulatory body that promulgated Rule 10b-5 under which the lawsuit is brought, and may investigate the accounting issues.
Robbins LLP: Robbins LLP is a shareholder rights law firm reminding investors of the class action and encouraging them to contact the firm. It benefits from the litigation and potential recoveries.
Jul 13, 2026 · 173 articles
49
Regulatory
United States — United States Securities and Exchange Commission: The SEC is mentioned in connection with the whistleblower program, which may provide rewards for information. The SEC is not a direct party but is relevant to the regulatory context.
Robbins LLP: Robbins LLP is a shareholder rights law firm that announced the class action and is seeking lead plaintiffs. The firm represents investors on a contingency basis and may recover fees if the case succeeds.
Aug 14, 2026 · 23 articles
49
Regulatory
United States — United States Securities and Exchange Commission: The lawsuit references violations of rules promulgated by the United States — United States Securities and Exchange Commission, indicating the regulatory framework under which the alleged fraud occurred. The agency's rules are the basis for the legal action.
Robbins LLP: Robbins LLP is the law firm that filed the class action lawsuit against Badger Meter on behalf of investors.
May 19, 2026 · 304 articles
49
Business
United States — United States Securities and Exchange Commission: The United States — United States Securities and Exchange Commission whistleblower program is mentioned as an option for individuals with non-public information regarding Sportradar.
Robbins LLP: Robbins LLP is a shareholder rights law firm that filed the class action lawsuit against Sportradar, representing investors who suffered losses.
Apr 23, 2026 · 383 articles
40
Business
United States — United States Securities and Exchange Commission: The United States — United States Securities and Exchange Commission's rules (Sections 10(b) and 20(a) of the Securities Exchange Act of 1934 and Rule 10b-5) are the basis for the alleged violations in the class action lawsuit.
Robbins LLP: Robbins LLP is a law firm representing investors in the class action lawsuit against Phreesia, aiming to help shareholders recover losses and hold company executives accountable.
Apr 14, 2026 · 303 articles
40
Regulatory
United States — United States Securities and Exchange Commission: Regulatory body referenced in the lawsuits; the alleged violations are under SEC rules.
Robbins LLP: Robbins LLP is initiating and representing investors in a class action lawsuit against Helen of Troy Limited, aiming to recover losses for shareholders.
Jun 02, 2026 · 193 articles
39
Regulatory
United States — United States Securities and Exchange Commission: The United States — United States Securities and Exchange Commission is the regulatory body whose rules Calix is alleged to have violated, specifically §§10(b) and 20(a) of the Securities Exchange Act of 1934 and Rule 10b-5.
Robbins LLP: Robbins LLP is informing stockholders about the class action lawsuit filed against Calix.
May 19, 2026 · 317 articles
37
Business
United States — United States Securities and Exchange Commission: The United States — United States Securities and Exchange Commission promulgates the rules under which Embecta is being sued for violations.
Robbins LLP: Robbins LLP has filed a class action lawsuit on behalf of Embecta investors who purchased securities during the class period.
Jun 16, 2026 · 304 articles
37
Business
United States — United States Securities and Exchange Commission: The class action lawsuit alleges violations of rules promulgated by the United States — United States Securities and Exchange Commission. The SEC Whistleblower program is also mentioned as an avenue for individuals with non-public information.
Robbins LLP: Robbins LLP is one of the law firms representing investors in a class action lawsuit against Commvault, seeking to recover damages for alleged securities law violations.
May 18, 2026 · 300 articles
36
Regulatory
United States — United States Securities and Exchange Commission: Regencell Bioscience Holdings disclosed the U.S. Department of Justice investigation in a filing with the United States — United States Securities and Exchange Commission.
Robbins LLP: Robbins LLP is a law firm that has informed stockholders about a class action filed against Regencell Bioscience Holdings, alleging stock manipulation.
Apr 25, 2026 · 206 articles
35
Regulatory
United States — United States Securities and Exchange Commission: Regulatory body overseeing securities laws. Its whistleblower program is referenced, and it may investigate the alleged violations.
Robbins LLP: Reminds investors of the pending class action and offers representation.
Jun 30, 2026 · 170 articles
35
Regulatory
United States — United States Securities and Exchange Commission: The SEC is referenced as the regulator under whose rules the securities claims are brought, and its whistleblower program is mentioned as a potential avenue for information.
Robbins LLP: Robbins LLP filed a class action lawsuit against Regeneron and is encouraging investors to contact them regarding lead plaintiff appointment.
Jul 16, 2026 · 182 articles
35
Regulatory
United States — United States Securities and Exchange Commission: The United States — United States Securities and Exchange Commission is referenced as the regulator under whose rules the lawsuits are brought. It may investigate the matter.
Robbins LLP: Robbins LLP is investigating potential breaches of fiduciary duty and securities law violations by JP3E Holdings, Inc.' officers and directors.
May 22, 2026 · 113 articles
35
Regulatory
United States — United States Securities and Exchange Commission: The SEC is the regulatory body that oversees securities laws. The class action alleges violations of SEC rules, but the SEC itself is not a party to the lawsuit.
Robbins LLP: Robbins LLP is a law firm that reminded investors of the lead plaintiff deadline. The firm is representing investors in the class action.
Jul 07, 2026 · 248 articles
32
Business
United States — United States Securities and Exchange Commission: The United States — United States Securities and Exchange Commission received the Registration Statement and Prospectus from Via Transportation in connection with its IPO.
Robbins LLP: Robbins LLP is investigating allegations that Via Transportation misled investors regarding customer growth, revenue generation, and expansion opportunities.
Jun 09, 2026 · 314 articles
32
Regulatory
United States — United States Securities and Exchange Commission: The SEC is referenced as the regulator under whose rules the claims are brought. It is not a party but its rules are central to the case.
Robbins LLP: Robbins LLP is one of the law firms that filed a class action and is urging investors with losses to contact the firm.
Jun 24, 2026 · 304 articles
30
Regulatory
United States — United States Securities and Exchange Commission: The SEC may investigate Bloom Energy's disclosures and potential securities law violations. Whistleblower provisions could lead to additional penalties.
Robbins LLP: Robbins LLP reminded investors with losses to contact the firm about leading the class action.
Jul 08, 2026 · 195 articles
30
Regulatory
United States — United States Securities and Exchange Commission: Regulatory body overseeing securities laws; whistleblower program mentioned in the context of the investigation, but no direct action taken.
Robbins LLP: Plaintiff law firm that filed a class action lawsuit against UWM.
Aug 10, 2026 · 115 articles
28
Regulatory
United States — United States Securities and Exchange Commission: The SEC is referenced as the regulator under which the securities laws were allegedly violated, and whistleblowers may report to the SEC.
Robbins LLP: This law firm contacted stockholders about recovering losses.
May 21, 2026 · 278 articles
28
Regulatory
United States — United States Securities and Exchange Commission: The SEC is the regulatory body that oversees securities laws. The lawsuit alleges violations of SEC rules, and the SEC may be involved in the regulatory aspects of the case.
Robbins LLP: Law firm that filed a class action lawsuit against Via.
Jun 27, 2026 · 156 articles
28
Regulatory
United States — United States Securities and Exchange Commission: The SEC is referenced as the regulator under whose rules the lawsuit is brought, but is not a direct party in the litigation.
Robbins LLP: Robbins LLP is reminding investors of the class action and lead plaintiff deadline, participating in the legal action against Wix.
Jul 06, 2026 · 228 articles
28
Regulatory
United States — United States Securities and Exchange Commission: The SEC is referenced in the context of the whistleblower program and the securities laws allegedly violated, but is not a direct party in the lawsuit.
Robbins LLP: Robbins LLP is a plaintiff law firm in the class action, representing investors and seeking lead plaintiff appointment. The firm gains from the case's potential settlement.
Jul 23, 2026 · 282 articles
24
Regulatory
United States — United States Securities and Exchange Commission: The SEC is the regulatory body that promulgated Rule 10b-5, under which the lawsuit is filed. The SEC's rules are the basis for the securities fraud claims.
Robbins LLP: Robbins LLP is also reminding stockholders of the lead plaintiff deadline and is involved in the class action against First Solar.
Jul 21, 2026 · 130 articles
24
Regulatory
United States — United States Securities and Exchange Commission: Regulator that may investigate; whistleblower program mentioned.
Robbins LLP: Law firm that reminded investors of the class action lawsuit.
Jul 27, 2026 · 293 articles
24
Regulatory
United States — United States Securities and Exchange Commission: The SEC is mentioned in connection with whistleblower rewards and the securities laws at issue.
Robbins LLP: Robbins LLP filed a class action and is urging stockholders to contact them.
May 19, 2026 · 235 articles
24
Regulatory
United States — United States Securities and Exchange Commission: The SEC is the regulatory body overseeing securities laws, and the class actions are brought under the Securities Exchange Act of 1934. The SEC's rules are central to the litigation.
Robbins LLP: Robbins LLP is a law firm that filed a class action lawsuit against Alibaba, representing investors.
Jul 26, 2026 · 181 articles
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