Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights October 20, 2014 Client Update Investment Management Regulatory Update - October 2014 Industry Update IM Director Discusses Changing Regulatory Landscape for Hedge Fund Managers CFTC Grants No-Action Reli... October 17, 2014 Client Update Audit Committee Reporting Increased in 2014 Proxy Statements For companies considering a review of the audit committee disclosure in proxy statements, the recent review by EY’s Cent... October 15, 2014 Client Update CFTC Re-Proposes Uncleared Swap Margin Rules On September 17, 2014, the CFTC re-proposed rules for uncleared swap margin requirements. The CFTC’s re-proposal is larg... October 15, 2014 Client Update Icahn Enterprises Notifies Public of Social Media Use as SEC Examines Possible Use of Universal Proxy Ballots Last Wednesday, an 8-K from Icahn Enterprises L.P. reported that its chairman, Carl Icahn, intends to use Tumblr, Facebook... October 15, 2014 Client Update CFTC Re-Proposes Uncleared Swap Margin Rules On September 17, 2014, the CFTC re-proposed rules for uncleared swap margin requirements. The CFTC’s re-proposal is larg... October 15, 2014 Client Update ISS Publishes Draft 2015 Voting Policies for Comment, Focuses on Independent Chair Shareholder Proposal and Equity Plans ISS has published its draft 2015 voting policies for public comment, which are due on October 29. The final release is exp... October 13, 2014 Client Update SEC Pay Ratio Rules Expected by End of Year and Recent Comment Letter Challenges SEC Cost Assumptions SEC Chair White signaled that the proposed rules on CEO pay ratio would be adopted before the end of the year at a Senate ... October 13, 2014 Client Update FINRA Files New Rules Governing Member Payments to Unregistered Persons On September 25, 2014, the Financial Industry Regulatory Authority filed a proposed rule change with the Securities and Ex... October 13, 2014 Articles & Books Getting the Deal Through: Merger Control 2015 Ronan Harty authors the United States chapter of Getting the Deal Through: Merger Control 2015, which covers the regulat... October 7, 2014 Client Update Recent Anti-Inversion Guidance Has Meaningful Implications for Insurance Companies The Treasury Department and the IRS recently released Notice 2014-52 (the “Notice”), which describes regulations that ... Load More
October 20, 2014 Client Update Investment Management Regulatory Update - October 2014 Industry Update IM Director Discusses Changing Regulatory Landscape for Hedge Fund Managers CFTC Grants No-Action Reli...
October 17, 2014 Client Update Audit Committee Reporting Increased in 2014 Proxy Statements For companies considering a review of the audit committee disclosure in proxy statements, the recent review by EY’s Cent...
October 15, 2014 Client Update CFTC Re-Proposes Uncleared Swap Margin Rules On September 17, 2014, the CFTC re-proposed rules for uncleared swap margin requirements. The CFTC’s re-proposal is larg...
October 15, 2014 Client Update Icahn Enterprises Notifies Public of Social Media Use as SEC Examines Possible Use of Universal Proxy Ballots Last Wednesday, an 8-K from Icahn Enterprises L.P. reported that its chairman, Carl Icahn, intends to use Tumblr, Facebook...
October 15, 2014 Client Update CFTC Re-Proposes Uncleared Swap Margin Rules On September 17, 2014, the CFTC re-proposed rules for uncleared swap margin requirements. The CFTC’s re-proposal is larg...
October 15, 2014 Client Update ISS Publishes Draft 2015 Voting Policies for Comment, Focuses on Independent Chair Shareholder Proposal and Equity Plans ISS has published its draft 2015 voting policies for public comment, which are due on October 29. The final release is exp...
October 13, 2014 Client Update SEC Pay Ratio Rules Expected by End of Year and Recent Comment Letter Challenges SEC Cost Assumptions SEC Chair White signaled that the proposed rules on CEO pay ratio would be adopted before the end of the year at a Senate ...
October 13, 2014 Client Update FINRA Files New Rules Governing Member Payments to Unregistered Persons On September 25, 2014, the Financial Industry Regulatory Authority filed a proposed rule change with the Securities and Ex...
October 13, 2014 Articles & Books Getting the Deal Through: Merger Control 2015 Ronan Harty authors the United States chapter of Getting the Deal Through: Merger Control 2015, which covers the regulat...
October 7, 2014 Client Update Recent Anti-Inversion Guidance Has Meaningful Implications for Insurance Companies The Treasury Department and the IRS recently released Notice 2014-52 (the “Notice”), which describes regulations that ...