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Date
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Title
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Type
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May 16, 2013
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SEC Proposes Cross-Border Security-Based Swap Rules
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Client Publications
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April 15, 2013
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CFTC Provides Inter-affiliate Swap Clearing and Reporting Relief
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Client Publications
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April 4, 2013
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SEC Explains How to Use Social Media for Regulation FD Compliance
Client Memorandum
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Client Publications
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April 1, 2013
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Dodd-Frank Progress Report
Client Newsletter
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Client Publications
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March 28, 2013
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Supreme Court Issues Significant Class Certification Decision in Antitrust Case
Client Newsflash
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Client Publications
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March 27, 2013
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Guidance on Rule 15a-6 and Foreign Broker-Dealers
Client Newsflash
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Client Publications
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March 26, 2013
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Supreme Court Hears Oral Argument Involving “Reverse Payment” Patent Infringement Settlements
Client Memorandum
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Client Publications
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March 11, 2013
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An Asset Manager’s Guide to Swap Trading in the New Regulatory World
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Client Publications
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March 5, 2013
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U.S. Supreme Court Confirms that Limitations Period for Certain Federal Enforcement Actions Begins When Fraud Occurs; Application In FCPA Matters Remains Unclear
Client Memorandum
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Client Publications
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March 1, 2013
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Dodd-Frank Progress Report
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Client Publications
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February 25, 2013
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Basel Committee and IOSCO Release Second Consultative Paper on Uncleared Derivatives Margin
Client Memorandum
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Client Publications
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February 1, 2013
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Dodd-Frank Progress Report
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Client Publications
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January 31, 2013
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China Antitrust Review 2012
Client Memorandum
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Client Publications
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January 28, 2013
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Implications for the CFPB After the D.C. Circuit’s Recess Appointments Decision
Client Memorandum
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Client Publications
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January 23, 2013
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FINRA Issues Voluntary Interim Form for Crowdfunding Portals
Client Memorandum
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Client Publications
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January 18, 2013
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Preparing Your 2012 Form 20-F
Client Memorandum
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Client Publications
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January 18, 2013
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Rule 10b5-1 Plans: What You Need to Know
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Client Publications
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January 17, 2013
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Basel Committee Revises Basel III Liquidity Coverage Ratio
Client Memorandum
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Client Publications
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January 11, 2013
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Revised Jurisdictional Thresholds Under the HSR Act and for the Prohibition of Interlocking Directorates
Client Memorandum
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Client Publications
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January 10, 2013
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Approaching the Effective Date of the New FINRA Communications Rules
Client Newsflash
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Client Publications
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January 7, 2013
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Swaps Pushout Rule: OCC Prepared to Grant Two-Year Transition Period to Federal Insured Depository Institutions
Client Memorandum
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Client Publications
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January 3, 2013
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SEC Adopts New Obligations for Broker-Dealers Regarding Lost Securityholders and Unresponsive Payees
Client Memorandum
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Client Publications
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December 5, 2012
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SEC Issues Guidance on New Iran Disclosure Requirements
Client Newsflash
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Client Publications
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December 3, 2012
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Dodd-Frank Progress Report
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Client Publications
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November 19, 2012
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Treasury Issues FX Swap and FX Forward Exemption
Client Newsflash
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Client Publications
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November 16, 2012
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DOJ and SEC Issue FCPA Guidance
Client Memorandum
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Client Publications
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November 12, 2012
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Impact of Dodd-Frank Derivatives Regulations on Latin American Financial Institutions
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Client Publications
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November 5, 2012
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SEC Proposes Capital, Margin, and Segregation Rules for Security-Based Swap Dealers
Client Memorandum
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Client Publications
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November 1, 2012
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Dodd-Frank Progress Report
Client Newsletter
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Client Publications
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October 1, 2012
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Dodd-Frank Progress Report
Client Newsletter
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Client Publications
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September 28, 2012
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FTC Fines Acquirer $850,000 for Failure to File Under HSR Act for Incremental Purchases of a Public Issuer
Client Memorandum
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Client Publications
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September 12, 2012
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United States Enacts Further Sanctions on Iran and Syria: the Iran Threat Reduction and Syria Human Rights Act of 2012
Client Memorandum
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Client Publications
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September 5, 2012
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New Law Requires Issuers to Disclose Certain Iran-Related Transactions
Client Memorandum
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Client Publications
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September 4, 2012
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Dodd-Frank Progress Report
Client Newsletter
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Client Publications
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September 4, 2012
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SEC Issues Proposal to Eliminate General Solicitation Ban as Mandated by the JOBS Act
Client Newsflash
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Client Publications
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August 23, 2012
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SEC Announces First Whistleblower Program Award
Client Newsflash
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Client Publications
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August 21, 2012
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DOJ Provides FCPA Guidance for Mergers and Acquisitions; Continues Industry-Wide Investigations and Focus on China
Client Memorandum
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Client Publications
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August 20, 2012
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CFTC Proposes Clearing Exemption for Inter-Affiliate Swaps
Client Newsflash
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Client Publications
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August 20, 2012
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FTC Proposes Amendments to the Premerger Notification Rules Related to the Transfer of Exclusive Patent Rights in the Pharmaceutical Industry
Client Memorandum
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Client Publications
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July 30, 2012
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CFTC Begins Implementation of Mandatory Clearing of Swaps
Client Newsflash
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Client Publications
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July 23, 2012
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CFPB Announces First Enforcement Action
Client Newsflash
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Client Publications
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July 19, 2012
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CFTC Addresses Compliance Dates for CPO/CTA Registration; Swap Definitions Finalized; CFTC Provides Cross-Border Guidance
Client Newsflash
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Client Publications
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July 19, 2012
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Expansion in Global Reach of U.S. Antitrust Laws
Client Newsflash
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Client Publications
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July 19, 2012
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SEC Adopts Rule Requiring Consolidated Audit Trail
Client Memorandum
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Client Publications
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July 17, 2012
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Key Dodd-Frank Derivatives Issues for End Users
Client Memorandum
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Client Publications
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July 11, 2012
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SEC and CFTC Finalize Swap Product Definitions: the Title VII Swap Countdown Begins
Client Newsflash
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Client Publications
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July 10, 2012
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Basel Committee and IOSCO Release Consultation Paper on Uncleared Derivatives Margin; CFTC Reopens Comment Period on Uncleared Swap Margin Proposal
Client Newsflash
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Client Publications
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June 22, 2012
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CFPB Issues Final Rules Governing Enforcement Procedures and Practices
Client Alert
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Client Publications
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June 14, 2012
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New Merger Control Regime Now in Force in Brazil
Client Memorandum
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Client Publications
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May 22, 2012
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Merger Enforcement Across Political Administrations In The United States
Concurrences: Competition Law Journal
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Lawyer Publications, Publications
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March 9, 2012
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Chinese Antitrust Authorities Approve Western Digital/Hitachi GST Deal with Significant Conditions
Client Memorandum
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Client Publications
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January 17, 2012
|
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Preparing Your 2011 Form 20-F
Client Memorandum
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Client Publications
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December 1, 2011
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Enron: 10 Years Later
Law360
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Lawyer Publications, Publications
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September 1, 2011
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Getting the Deal Through - Merger Control 2012
United States
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Publications
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July 29, 2010
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Davis Polk Launches Dodd-Frank Webcast Series
|
|
Client Publications
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June 2, 2010
|
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Financial Reform Side-by-Side Comparison Chart – Key Senate and House Bill Issues
Client Memorandum
|
|
Client Publications
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