Harriet Quiney and Trishna Radia consider the recent Court of Appeal decision in Norman Hay Plc (in Members’ Voluntary Liquidation) v Marsh Ltd[2025] which provides insight into the courts’ approach to causation and “loss of chance” in the context of brokers’ negligence.
Physician Associates are under increased scrutiny regarding the scope of their role, with concerns about transparency and accusations that boundaries with doctors are becoming blurred.
Rebecca Gilbert examines these challenges in the context of recent high-profile patient safety incidents.
Global economic turmoil and heightened uncertainty often leads to an increase in claims against professionals of all types. Lucy Tolond considers the emerging risks on the horizon for financial professionals, including accountants, financial advisers, and pension professionals.