Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights 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 ... March 10, 2016 Client Update State Street Urges Companies to Focus on Independent Board Leadership and Provides Detailed Guidelines on Structure and Responsibilities Strong independent leadership will be a key focus of State Street’s 2016 corporate governance engagement program, accord... 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 ... March 9, 2016 Client Update CFPB Brings First Ever Data Security Enforcement Action: Review and Analysis On March 2, 2016, the CFPB announced that it had settled an enforcement action with Dwolla, Inc., an online payment platfo... March 9, 2016 Client Update CFPB Brings First Ever Data Security Enforcement Action: Review and Analysis On March 2, 2016, the CFPB announced that it had settled an enforcement action with Dwolla, Inc., an online payment platfo... March 8, 2016 Client Update Enforcement Division May Investigate Failure to Disclose Cyber Breaches At SEC Speaks 2016, the SEC Enforcement Division indicated that they are interested in investigating public companies’ f... March 3, 2016 Client Update Corp Fin Raises Issues in Proposed Executive Compensation Rules and Disclosure Effectiveness Project At SEC Speaks 2016, the Staff in the Division of Corporation Finance discussed the goal of finalizing the three proposed e... March 2, 2016 Client Update Corp Fin Considers Universal Proxies and Warns Companies to Be Clear About the Voting Standards for Director Elections This is the first of a multipart series on SEC updates related to corporate governance areas discussed during the recent S... March 2, 2016 Client Update FDIC and SEC Propose Rules to Implement the Provisions for Covered Broker-Dealers under Title II of Dodd-Frank Following is Davis Polk’s client memorandum on the FDIC’s and the SEC’s proposed rule to implement the provisions ap... March 2, 2016 Client Update FDIC and SEC Propose Rules to Implement the Provisions for Covered Broker-Dealers under Title II of Dodd-Frank Following is Davis Polk’s client memorandum on the FDIC’s and the SEC’s proposed rule to implement the provisions ap... Load More
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 ...
March 10, 2016 Client Update State Street Urges Companies to Focus on Independent Board Leadership and Provides Detailed Guidelines on Structure and Responsibilities Strong independent leadership will be a key focus of State Street’s 2016 corporate governance engagement program, accord...
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 ...
March 9, 2016 Client Update CFPB Brings First Ever Data Security Enforcement Action: Review and Analysis On March 2, 2016, the CFPB announced that it had settled an enforcement action with Dwolla, Inc., an online payment platfo...
March 9, 2016 Client Update CFPB Brings First Ever Data Security Enforcement Action: Review and Analysis On March 2, 2016, the CFPB announced that it had settled an enforcement action with Dwolla, Inc., an online payment platfo...
March 8, 2016 Client Update Enforcement Division May Investigate Failure to Disclose Cyber Breaches At SEC Speaks 2016, the SEC Enforcement Division indicated that they are interested in investigating public companies’ f...
March 3, 2016 Client Update Corp Fin Raises Issues in Proposed Executive Compensation Rules and Disclosure Effectiveness Project At SEC Speaks 2016, the Staff in the Division of Corporation Finance discussed the goal of finalizing the three proposed e...
March 2, 2016 Client Update Corp Fin Considers Universal Proxies and Warns Companies to Be Clear About the Voting Standards for Director Elections This is the first of a multipart series on SEC updates related to corporate governance areas discussed during the recent S...
March 2, 2016 Client Update FDIC and SEC Propose Rules to Implement the Provisions for Covered Broker-Dealers under Title II of Dodd-Frank Following is Davis Polk’s client memorandum on the FDIC’s and the SEC’s proposed rule to implement the provisions ap...
March 2, 2016 Client Update FDIC and SEC Propose Rules to Implement the Provisions for Covered Broker-Dealers under Title II of Dodd-Frank Following is Davis Polk’s client memorandum on the FDIC’s and the SEC’s proposed rule to implement the provisions ap...