Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights May 19, 2016 Client Update SEC Releases Guidance on Non-GAAP Financial Measures On May 17, the staff of the SEC’s Division of Corporation Finance released new and revised Compliance and Disclosure Int... May 16, 2016 Client Update Proposed Legislation on Oversight of Proxy Advisory Firms The Proxy Advisory Firm Reform Act, introduced by Congressman Sean Duffy (R-Wisconsin), is on the agenda for a hearing on... May 13, 2016 Client Update Dodd-Frank Update: Incentive Compensation for Financial Institutions On Monday, May 2, 2016, the Federal Reserve and, on Friday, May 6, 2016, the SEC issued their versions of a reproposed rul... May 12, 2016 Client Update PCAOB Reproposes Standards on Critical Audit Matters, Tied to Audit Committee Communications, and Adds Tenure Disclosure to Auditors’ Reports When it first proposed disclosure of critical audit matters in auditors’ reports back in August 2013, the PCAOB faced an... May 11, 2016 Client Update Pre-IPO Companies Can Stay Private Longer: SEC Wraps Up JOBS Act Rulemaking On May 3, the SEC approved rule amendments that will make it easier for many private companies to remain private, and easi... May 11, 2016 Client Update Status of Proxy Access Shareholder Proposals, Including Binding Bylaw Proposals At annual meetings so far this year, investors have already voted on more than 30 shareholder proposals asking companies t... May 11, 2016 Client Update Treasury Increases Focus on Offshore Tax Evasion as New Leaks Emerge from the Panama Papers Just before a major development in the Panama Papers document leak, the United States Treasury Department announced a seri... May 10, 2016 Client Update New Guidance on Best Practice for Disapplying Pre-Emption Rights for UK Premium Listed Companies On May 5, 2016, the Financial Reporting Council’s Pre-Emption Group published its first monitoring report on the applica... May 10, 2016 Client Update New Guidance on Best Practice for Disapplying Pre-Emption Rights for UK Premium Listed Companies On May 5, 2016, the Financial Reporting Council’s Pre-Emption Group published its first monitoring report on the applica... May 3, 2016 Client Update Supplemental Proxy Filings on Say-on-Pay Do Not Affect Overall Vote Results A recent Semler Brossy report that examined supplementary proxy materials on say-on-pay proposals since 2011 found no mate... Load More
May 19, 2016 Client Update SEC Releases Guidance on Non-GAAP Financial Measures On May 17, the staff of the SEC’s Division of Corporation Finance released new and revised Compliance and Disclosure Int...
May 16, 2016 Client Update Proposed Legislation on Oversight of Proxy Advisory Firms The Proxy Advisory Firm Reform Act, introduced by Congressman Sean Duffy (R-Wisconsin), is on the agenda for a hearing on...
May 13, 2016 Client Update Dodd-Frank Update: Incentive Compensation for Financial Institutions On Monday, May 2, 2016, the Federal Reserve and, on Friday, May 6, 2016, the SEC issued their versions of a reproposed rul...
May 12, 2016 Client Update PCAOB Reproposes Standards on Critical Audit Matters, Tied to Audit Committee Communications, and Adds Tenure Disclosure to Auditors’ Reports When it first proposed disclosure of critical audit matters in auditors’ reports back in August 2013, the PCAOB faced an...
May 11, 2016 Client Update Pre-IPO Companies Can Stay Private Longer: SEC Wraps Up JOBS Act Rulemaking On May 3, the SEC approved rule amendments that will make it easier for many private companies to remain private, and easi...
May 11, 2016 Client Update Status of Proxy Access Shareholder Proposals, Including Binding Bylaw Proposals At annual meetings so far this year, investors have already voted on more than 30 shareholder proposals asking companies t...
May 11, 2016 Client Update Treasury Increases Focus on Offshore Tax Evasion as New Leaks Emerge from the Panama Papers Just before a major development in the Panama Papers document leak, the United States Treasury Department announced a seri...
May 10, 2016 Client Update New Guidance on Best Practice for Disapplying Pre-Emption Rights for UK Premium Listed Companies On May 5, 2016, the Financial Reporting Council’s Pre-Emption Group published its first monitoring report on the applica...
May 10, 2016 Client Update New Guidance on Best Practice for Disapplying Pre-Emption Rights for UK Premium Listed Companies On May 5, 2016, the Financial Reporting Council’s Pre-Emption Group published its first monitoring report on the applica...
May 3, 2016 Client Update Supplemental Proxy Filings on Say-on-Pay Do Not Affect Overall Vote Results A recent Semler Brossy report that examined supplementary proxy materials on say-on-pay proposals since 2011 found no mate...