Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights July 25, 2017 Client Update Comparing the SEC’s Rulemaking Agendas Indicates Potential for Less Rulemaking, but Significant Disclosure Initiatives Remain Like other federal agencies, the SEC recently released its regulatory agenda. The agenda is published by the Office of Inf... July 24, 2017 Client Update FCA Consultation on a New Category of Premium Listing for Sovereign Controlled Companies On July 13, 2017, the UK Financial Conduct Authority (the “FCA”) published a consultation paper entitled “Proposal t... July 24, 2017 Client Update FCA Consultation on a New Category of Premium Listing for Sovereign Controlled Companies On July 13, 2017, the UK Financial Conduct Authority (the “FCA”) published a consultation paper entitled “Proposal t... July 21, 2017 Client Update The New EU Prospectus Regulation and ESMA Draft Technical Advice: Impact on Capital Markets Transactions Following the publication of the EU Prospectus Regulation in the Official Journal of the European Union on June 14, 2017, ... July 19, 2017 Client Update Second Nuclear Certification to Congress Confirms Iran’s Continued Compliance but Raises Questions about Future of JCPOA The Trump Administration submitted its second certification to Congress regarding Iranian compliance with the Joint Compre... July 19, 2017 Client Update Report Finds Shareholder Activism Evolving from Niche Strategy to Acceptance Across Investors With 371 public campaigns against U.S. companies, according to a recent J.P. Morgan report on the new normal in shareholde... July 19, 2017 Client Update Increased Activity and Emerging Patterns in Securities Litigation Against Life Sciences Companies We previously outlined the growing threat of securities class action lawsuits against life sciences companies and the ... July 19, 2017 Client Update Dodd-Frank’s Seventh Anniversary Friday marks the seventh anniversary of the Dodd-Frank Act. The outlook for financial regulation, and Dodd-Frank, has fun... July 17, 2017 Client Update Court Holds Non-U.S. Investor Is Not Taxable on Sale of U.S. Operating Partnership Interest In a decision released July 13, the U.S. Tax Court held that gain realized by a non-U.S. investor on the disposition of a... July 14, 2017 Client Update Treasury Report on Regulatory Reform: Key Recommendations and Initial Regulatory Responses on Capital, Stress Testing and Liquidity The recent Treasury Report on financial regulatory reforms related to banks and credit unions devotes significant attentio... Load More
July 25, 2017 Client Update Comparing the SEC’s Rulemaking Agendas Indicates Potential for Less Rulemaking, but Significant Disclosure Initiatives Remain Like other federal agencies, the SEC recently released its regulatory agenda. The agenda is published by the Office of Inf...
July 24, 2017 Client Update FCA Consultation on a New Category of Premium Listing for Sovereign Controlled Companies On July 13, 2017, the UK Financial Conduct Authority (the “FCA”) published a consultation paper entitled “Proposal t...
July 24, 2017 Client Update FCA Consultation on a New Category of Premium Listing for Sovereign Controlled Companies On July 13, 2017, the UK Financial Conduct Authority (the “FCA”) published a consultation paper entitled “Proposal t...
July 21, 2017 Client Update The New EU Prospectus Regulation and ESMA Draft Technical Advice: Impact on Capital Markets Transactions Following the publication of the EU Prospectus Regulation in the Official Journal of the European Union on June 14, 2017, ...
July 19, 2017 Client Update Second Nuclear Certification to Congress Confirms Iran’s Continued Compliance but Raises Questions about Future of JCPOA The Trump Administration submitted its second certification to Congress regarding Iranian compliance with the Joint Compre...
July 19, 2017 Client Update Report Finds Shareholder Activism Evolving from Niche Strategy to Acceptance Across Investors With 371 public campaigns against U.S. companies, according to a recent J.P. Morgan report on the new normal in shareholde...
July 19, 2017 Client Update Increased Activity and Emerging Patterns in Securities Litigation Against Life Sciences Companies We previously outlined the growing threat of securities class action lawsuits against life sciences companies and the ...
July 19, 2017 Client Update Dodd-Frank’s Seventh Anniversary Friday marks the seventh anniversary of the Dodd-Frank Act. The outlook for financial regulation, and Dodd-Frank, has fun...
July 17, 2017 Client Update Court Holds Non-U.S. Investor Is Not Taxable on Sale of U.S. Operating Partnership Interest In a decision released July 13, the U.S. Tax Court held that gain realized by a non-U.S. investor on the disposition of a...
July 14, 2017 Client Update Treasury Report on Regulatory Reform: Key Recommendations and Initial Regulatory Responses on Capital, Stress Testing and Liquidity The recent Treasury Report on financial regulatory reforms related to banks and credit unions devotes significant attentio...