Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights January 7, 2016 Client Update Companies Can Sign Up for Glass Lewis Data Verification Process Until January 31 or whenever a specified limit is reached, NYSE and Nasdaq listed issuers can sign up for Glass Lewis’ d... January 6, 2016 Client Update Companies Argue Substantial Implementation for Proxy Access Shareholder Proposals A number of companies have submitted no-action letters to the SEC arguing that they have already substantially implemented... 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... 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... 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... 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... January 4, 2016 Client Update Congressional Bill Would Require Disclosure of Board-Level Cybersecurity Expertise The Cybersecurity Disclosure Act of 2015 sponsored by Senators Jack Reed (D-RI) and Susan Collins (R-ME) on December 17 is... January 4, 2016 Client Update Dodd-Frank Progress Report - Fourth Quarter 2015 Since September 30, 2015, 18 rulemaking requirements were finalized and no rulemaking requirements were proposed. As of t... 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 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... Load More
January 7, 2016 Client Update Companies Can Sign Up for Glass Lewis Data Verification Process Until January 31 or whenever a specified limit is reached, NYSE and Nasdaq listed issuers can sign up for Glass Lewis’ d...
January 6, 2016 Client Update Companies Argue Substantial Implementation for Proxy Access Shareholder Proposals A number of companies have submitted no-action letters to the SEC arguing that they have already substantially implemented...
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...
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...
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...
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...
January 4, 2016 Client Update Congressional Bill Would Require Disclosure of Board-Level Cybersecurity Expertise The Cybersecurity Disclosure Act of 2015 sponsored by Senators Jack Reed (D-RI) and Susan Collins (R-ME) on December 17 is...
January 4, 2016 Client Update Dodd-Frank Progress Report - Fourth Quarter 2015 Since September 30, 2015, 18 rulemaking requirements were finalized and no rulemaking requirements were proposed. As of t...
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 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...