Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights April 21, 2016 Articles & Books Similar But Not The Same: Some Ways in Which Bonds and Loans Will Differ in a Restructuring Much ink has been spilled over the last several years about the ongoing convergence of the U.S. institutional Term Loan B ... April 21, 2016 Articles & Books Similar But Not The Same: Some Ways in Which Bonds and Loans Will Differ in a Restructuring Much ink has been spilled over the last several years about the ongoing convergence of the U.S. institutional Term Loan B ... April 21, 2016 Client Update SEC Concept Release Considers Format and Delivery Changes for Periodic Reporting In our prior posts here and here, we considered certain aspects of the SEC concept release that asks for comments on chang... April 20, 2016 Client Update Regulation S-K Concept Release Raises Critical Questions about Disclosure of Risk Factors, Sustainability and Public Policy Issues As previously discussed in our prior post, the SEC concept release on Regulation S-K encourages interested parties to comm... April 18, 2016 Client Update SEC Concept Release on Regulation S-K Asks More Than 800 Questions in Soliciting Comments, with a 90-Day Deadline The SEC concept release on the business and financial disclosure requirements in Regulation S-K is a whopping 341 pages. ... April 18, 2016 Client Update Department of Labor’s Final Rule Defining Fiduciary Investment Advice and Conflicts of Interest On April 6, 2016, the U.S. Department of Labor (the “DOL”) issued final regulations expanding the definition of a “f... April 18, 2016 Client Update Department of Labor’s Final Rule Defining Fiduciary Investment Advice and Conflicts of Interest On April 6, 2016, the U.S. Department of Labor (the “DOL”) issued final regulations expanding the definition of a “f... April 18, 2016 Articles & Books Security-Based Swap Dealers: Gearing Up for Registration This article first appeared in Compliance Reporter. The Securities and Exchange Commission is slowly finalizing its rules ... April 12, 2016 Client Update Board Diversity and Sustainability Proposals Achieve Majority Support While still early in the season, two ESG proposals have passed, in an unusual level of support for those types of resoluti... April 11, 2016 Client Update Treasury Issues New Anti-Inversion Guidance On April 4, 2016, the Internal Revenue Service (the “IRS”) and the Treasury Department (“Treasury”) issued (i) fin... Load More
April 21, 2016 Articles & Books Similar But Not The Same: Some Ways in Which Bonds and Loans Will Differ in a Restructuring Much ink has been spilled over the last several years about the ongoing convergence of the U.S. institutional Term Loan B ...
April 21, 2016 Articles & Books Similar But Not The Same: Some Ways in Which Bonds and Loans Will Differ in a Restructuring Much ink has been spilled over the last several years about the ongoing convergence of the U.S. institutional Term Loan B ...
April 21, 2016 Client Update SEC Concept Release Considers Format and Delivery Changes for Periodic Reporting In our prior posts here and here, we considered certain aspects of the SEC concept release that asks for comments on chang...
April 20, 2016 Client Update Regulation S-K Concept Release Raises Critical Questions about Disclosure of Risk Factors, Sustainability and Public Policy Issues As previously discussed in our prior post, the SEC concept release on Regulation S-K encourages interested parties to comm...
April 18, 2016 Client Update SEC Concept Release on Regulation S-K Asks More Than 800 Questions in Soliciting Comments, with a 90-Day Deadline The SEC concept release on the business and financial disclosure requirements in Regulation S-K is a whopping 341 pages. ...
April 18, 2016 Client Update Department of Labor’s Final Rule Defining Fiduciary Investment Advice and Conflicts of Interest On April 6, 2016, the U.S. Department of Labor (the “DOL”) issued final regulations expanding the definition of a “f...
April 18, 2016 Client Update Department of Labor’s Final Rule Defining Fiduciary Investment Advice and Conflicts of Interest On April 6, 2016, the U.S. Department of Labor (the “DOL”) issued final regulations expanding the definition of a “f...
April 18, 2016 Articles & Books Security-Based Swap Dealers: Gearing Up for Registration This article first appeared in Compliance Reporter. The Securities and Exchange Commission is slowly finalizing its rules ...
April 12, 2016 Client Update Board Diversity and Sustainability Proposals Achieve Majority Support While still early in the season, two ESG proposals have passed, in an unusual level of support for those types of resoluti...
April 11, 2016 Client Update Treasury Issues New Anti-Inversion Guidance On April 4, 2016, the Internal Revenue Service (the “IRS”) and the Treasury Department (“Treasury”) issued (i) fin...