Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights January 8, 2014 Client Update SEC Approves New FINRA Supervision Rules FINRA rules require broker-dealer members to establish and maintain a system and written procedures to supervise the activ... January 8, 2014 Client Update SEC Reports Record Enforcement Actions and Other Activities in Its Past Year Recognizing the particular interest in the performance of its enforcement division, the Commission issued a press release ... January 7, 2014 Client Update CFTC Issues Cross-Border Substituted Compliance Determinations, Provides Limited Phase In for Some Swap Requirements Just one day in advance of the December 21, 2013 expiration of the CFTC’s exemptive order delaying the applicability of ... January 7, 2014 Client Update CFTC Issues Cross-Border Substituted Compliance Determinations, Provides Limited Phase In for Some Swap Requirements Just one day in advance of the December 21, 2013 expiration of the CFTC’s exemptive order delaying the applicability of ... January 5, 2014 Client Update Volcker Rule Final Regulations: Funds Flowcharts Davis Polk has prepared a set of flowcharts analyzing the prohibition on banking entities sponsoring or acquiring ownershi... January 5, 2014 Client Update Volcker Rule Final Regulations: Funds Flowcharts Davis Polk has prepared a set of flowcharts analyzing the prohibition on banking entities sponsoring or acquiring ownershi... January 3, 2014 Articles & Books Comment: Regulatory Predictions for 2014 2014 is shaping up to be another significant year for U.S. regulatory reform. In a piece that appeared in the Financial Ti... January 2, 2014 Client Update SEC Staff Continues to Deny Rule 14a-8 Exclusion Requests Based on Misleading Supporting Statements Companies are frequently frustrated when the supporting statement of a shareholder proposal contains stale data, irrelevan... January 2, 2014 Client Update Dodd-Frank Progress Report - January 2014 In the past month, no rulemaking requirement deadlines passed, 36 rulemaking requirements were finalized and one rule was ... January 1, 2014 Articles & Books IFLR Bankers’ Counsel Poll: European Capital Markets The recently published December/January 2014 edition of International Financial Law Review (IFLR) magazine included the re... Load More
January 8, 2014 Client Update SEC Approves New FINRA Supervision Rules FINRA rules require broker-dealer members to establish and maintain a system and written procedures to supervise the activ...
January 8, 2014 Client Update SEC Reports Record Enforcement Actions and Other Activities in Its Past Year Recognizing the particular interest in the performance of its enforcement division, the Commission issued a press release ...
January 7, 2014 Client Update CFTC Issues Cross-Border Substituted Compliance Determinations, Provides Limited Phase In for Some Swap Requirements Just one day in advance of the December 21, 2013 expiration of the CFTC’s exemptive order delaying the applicability of ...
January 7, 2014 Client Update CFTC Issues Cross-Border Substituted Compliance Determinations, Provides Limited Phase In for Some Swap Requirements Just one day in advance of the December 21, 2013 expiration of the CFTC’s exemptive order delaying the applicability of ...
January 5, 2014 Client Update Volcker Rule Final Regulations: Funds Flowcharts Davis Polk has prepared a set of flowcharts analyzing the prohibition on banking entities sponsoring or acquiring ownershi...
January 5, 2014 Client Update Volcker Rule Final Regulations: Funds Flowcharts Davis Polk has prepared a set of flowcharts analyzing the prohibition on banking entities sponsoring or acquiring ownershi...
January 3, 2014 Articles & Books Comment: Regulatory Predictions for 2014 2014 is shaping up to be another significant year for U.S. regulatory reform. In a piece that appeared in the Financial Ti...
January 2, 2014 Client Update SEC Staff Continues to Deny Rule 14a-8 Exclusion Requests Based on Misleading Supporting Statements Companies are frequently frustrated when the supporting statement of a shareholder proposal contains stale data, irrelevan...
January 2, 2014 Client Update Dodd-Frank Progress Report - January 2014 In the past month, no rulemaking requirement deadlines passed, 36 rulemaking requirements were finalized and one rule was ...
January 1, 2014 Articles & Books IFLR Bankers’ Counsel Poll: European Capital Markets The recently published December/January 2014 edition of International Financial Law Review (IFLR) magazine included the re...