Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights April 11, 2016 Client Update Treasury Issues New Anti-Inversion Guidance On April 4, 2016, the Internal Revenue Service (the “IRS”) and the Treasury Department (“Treasury”) issued (i) fin... April 11, 2016 Client Update Treasury Proposes Overhaul of Intercompany Debt Rules The Internal Revenue Service (the “IRS”) and the Treasury Department (“Treasury”) on April 4, 2016 released propos... March 18, 2016 Client Update New Hong Kong Professional Investors Reform – Are You Ready? After two years of preparation, the Hong Kong professional investors regime under the SFC Code of Conduct (“Code”) wil... March 17, 2016 Client Update Can Falling Interest Rates Increase a Company’s Financing Costs? Companies will often enter into interest rate swap agreements in order to hedge their exposure to interest rate risk stemm... March 15, 2016 Articles & Books EU Prospectus Regime - Prospectus Approval and Publication, and Dissemination of Advertisements A number of changes to the Prospectus Directive regime regarding the approval and publication of prospectuses and dissemin... March 10, 2016 Client Update New Register of ‘People with Significant Control’ over UK Companies – One Month to Implementation As part of the UK Government’s drive to improve business transparency, from 6 April 2016 onwards, a new Part 21A of the ... February 17, 2016 Client Update Down-Round Financings of Private Companies: Considerations for Outstanding Equity Compensation Awards The recent market turmoil has forced VC firms and other private company investors to examine closely the real possibility ... January 6, 2016 Client Update Hong Kong Corporate Finance Update Davis Polk sends you 2016 New Year’s Greetings and a new Hong Kong Corporate Finance Update. In this issue, we report on... December 29, 2015 Client Update SEC Proposes New Limits on Registered Funds’ Derivatives Use On December 11, 2015, the U.S. Securities and Exchange Commission proposed Rule 18f-4, which would impose new exposure lim... December 21, 2015 Client Update SEC Re-Proposes Rules Implementing Dodd-Frank Disclosure Requirements for Resource Extraction Issuers On December 11, the SEC once again proposed rules to implement Section 1504 of the Dodd-Frank Act relating to resource ext... Load More
April 11, 2016 Client Update Treasury Issues New Anti-Inversion Guidance On April 4, 2016, the Internal Revenue Service (the “IRS”) and the Treasury Department (“Treasury”) issued (i) fin...
April 11, 2016 Client Update Treasury Proposes Overhaul of Intercompany Debt Rules The Internal Revenue Service (the “IRS”) and the Treasury Department (“Treasury”) on April 4, 2016 released propos...
March 18, 2016 Client Update New Hong Kong Professional Investors Reform – Are You Ready? After two years of preparation, the Hong Kong professional investors regime under the SFC Code of Conduct (“Code”) wil...
March 17, 2016 Client Update Can Falling Interest Rates Increase a Company’s Financing Costs? Companies will often enter into interest rate swap agreements in order to hedge their exposure to interest rate risk stemm...
March 15, 2016 Articles & Books EU Prospectus Regime - Prospectus Approval and Publication, and Dissemination of Advertisements A number of changes to the Prospectus Directive regime regarding the approval and publication of prospectuses and dissemin...
March 10, 2016 Client Update New Register of ‘People with Significant Control’ over UK Companies – One Month to Implementation As part of the UK Government’s drive to improve business transparency, from 6 April 2016 onwards, a new Part 21A of the ...
February 17, 2016 Client Update Down-Round Financings of Private Companies: Considerations for Outstanding Equity Compensation Awards The recent market turmoil has forced VC firms and other private company investors to examine closely the real possibility ...
January 6, 2016 Client Update Hong Kong Corporate Finance Update Davis Polk sends you 2016 New Year’s Greetings and a new Hong Kong Corporate Finance Update. In this issue, we report on...
December 29, 2015 Client Update SEC Proposes New Limits on Registered Funds’ Derivatives Use On December 11, 2015, the U.S. Securities and Exchange Commission proposed Rule 18f-4, which would impose new exposure lim...
December 21, 2015 Client Update SEC Re-Proposes Rules Implementing Dodd-Frank Disclosure Requirements for Resource Extraction Issuers On December 11, the SEC once again proposed rules to implement Section 1504 of the Dodd-Frank Act relating to resource ext...