Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights January 31, 2014 Client Update SEC Staff Seeks More Succinct Disclosure on Stock Valuation for IPO Registration Statements At the recent Securities Regulation Institute, Keith Higgins, the head of the SEC Division of Corporation Finance, indicat... January 30, 2014 Client Update Shareholder Proposals Seeking Divestitures While notices of exempt solicitations are becoming more common, they usually do not involve a proponent’s tweets about t... January 29, 2014 Client Update SEC Staff Issues Further Guidance on the Proxy “Unbundling” Rule The SEC’s Division of Corporation Finance recently released three Compliance and Disclosure Interpretations concerning t... January 28, 2014 Client Update ISS Technical Document for QuickScore 2.0 ISS released its technical document on QuickScore 2.0. The changes from the prior version include data updates on an ongoi... January 27, 2014 Client Update Auditor Independence in the Spotlight The Enforcement Division recently settled with KPMG for its actions involving three companies, none of which were identifi... January 27, 2014 Client Update Companies Should Verify Data for New Version of ISS QuickScore As of 9 a.m. EST today, companies can begin verifying their corporate data to make sure that ISS has the most current info... January 21, 2014 Client Update Conversation with Bob Lamm on Governance Today To get a perspective on corporate governance challenges at public companies, we turn to a true expert, Bob Lamm. Until Mar... January 21, 2014 Client Update Governance Practices for IPO Companies: A Davis Polk Survey - January 2014 Amid the recent uptick in U.S. IPO transactions to levels not seen since the heady days of 1999 and 2000, Davis Polk’s p... January 15, 2014 Client Update Proxy Season 2014 Prep: Reviewing Publicly Available Proxy Advisory Firms’ Policies This week ISS posted a number of updated documents on their policies, including a revised set of summary guidelines and co... January 14, 2014 Client Update CII Petitions the SEC to Adopt Universal Proxy Cards in Contested Elections The Council of Institutional Investors (CII) has petitioned the SEC for the ability to “mix and match” director candid... Load More
January 31, 2014 Client Update SEC Staff Seeks More Succinct Disclosure on Stock Valuation for IPO Registration Statements At the recent Securities Regulation Institute, Keith Higgins, the head of the SEC Division of Corporation Finance, indicat...
January 30, 2014 Client Update Shareholder Proposals Seeking Divestitures While notices of exempt solicitations are becoming more common, they usually do not involve a proponent’s tweets about t...
January 29, 2014 Client Update SEC Staff Issues Further Guidance on the Proxy “Unbundling” Rule The SEC’s Division of Corporation Finance recently released three Compliance and Disclosure Interpretations concerning t...
January 28, 2014 Client Update ISS Technical Document for QuickScore 2.0 ISS released its technical document on QuickScore 2.0. The changes from the prior version include data updates on an ongoi...
January 27, 2014 Client Update Auditor Independence in the Spotlight The Enforcement Division recently settled with KPMG for its actions involving three companies, none of which were identifi...
January 27, 2014 Client Update Companies Should Verify Data for New Version of ISS QuickScore As of 9 a.m. EST today, companies can begin verifying their corporate data to make sure that ISS has the most current info...
January 21, 2014 Client Update Conversation with Bob Lamm on Governance Today To get a perspective on corporate governance challenges at public companies, we turn to a true expert, Bob Lamm. Until Mar...
January 21, 2014 Client Update Governance Practices for IPO Companies: A Davis Polk Survey - January 2014 Amid the recent uptick in U.S. IPO transactions to levels not seen since the heady days of 1999 and 2000, Davis Polk’s p...
January 15, 2014 Client Update Proxy Season 2014 Prep: Reviewing Publicly Available Proxy Advisory Firms’ Policies This week ISS posted a number of updated documents on their policies, including a revised set of summary guidelines and co...
January 14, 2014 Client Update CII Petitions the SEC to Adopt Universal Proxy Cards in Contested Elections The Council of Institutional Investors (CII) has petitioned the SEC for the ability to “mix and match” director candid...