Melton Medes Ltd and Another v Securities and Investments Board: ChD 27 Jul 1994

There was no cause of action against the source of information for its wrongful disclosure of restricted information to a supervising body.


Ind Summary 08-Aug-1994, Times 27-Jul-1994


Financial Services Act 1986 179


England and Wales

Financial Services

Updated: 04 June 2022; Ref: scu.83615