Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights October 9, 2009 Client Update General Counsel Update - October 9, 2009 Yesterday at the New York Stock Exchange, NYSE Euronext and Davis Polk co-hosted a seminar for listed companies entitled ?... October 9, 2009 Client Update General Counsel Update - October 9, 2009 Yesterday at the New York Stock Exchange, NYSE Euronext and Davis Polk co-hosted a seminar for listed companies entitled ?... October 9, 2009 Client Update Investment Management Regulatory Update - October 2009 SEC Rules and Regulations SEC Adopts Interim Final Temporary Rule Requiring Money Market Fund Disclosure Industry Upd... October 6, 2009 Client Update Representative Kanjorski Releases Investor Protection, Private Investment Fund Advisers Registration and Federal Insurance Office Proposals A discussion draft of legislation to regulate the over-the-counter (“OTC”) derivatives markets (the “Draft Bill”) ... October 6, 2009 Client Update Representative Frank Releases Discussion Draft for Over-the-Counter Derivatives Reform Discussion drafts of three bills: the Investor Protection Act of 2009, the Private Fund Investment Advisers Registration A... October 6, 2009 Client Update Representative Frank Releases Discussion Draft for Over-the-Counter Derivatives Reform Discussion drafts of three bills: the Investor Protection Act of 2009, the Private Fund Investment Advisers Registration A... October 6, 2009 Client Update Representative Kanjorski Releases Investor Protection, Private Investment Fund Advisers Registration and Federal Insurance Office Proposals A discussion draft of legislation to regulate the over-the-counter (“OTC”) derivatives markets (the “Draft Bill”) ... October 6, 2009 Client Update Representative Kanjorski Releases Investor Protection, Private Investment Fund Advisers Registration and Federal Insurance Office Proposals A discussion draft of legislation to regulate the over-the-counter (“OTC”) derivatives markets (the “Draft Bill”) ... October 1, 2009 Client Update SEC Urged to Defer Adopting Proxy Access Rules A broad cross section of commenters is encouraging the Securities and Exchange Commission (the “SEC”) to take a cautio... October 1, 2009 Client Update Rule 12g3-2(b): The Foreign Private Issuer Exemption Rule 12g3-2(b) under the US Securities Exchange Act of 1934, as amended exempts a foreign private issuer from having to re... Load More
October 9, 2009 Client Update General Counsel Update - October 9, 2009 Yesterday at the New York Stock Exchange, NYSE Euronext and Davis Polk co-hosted a seminar for listed companies entitled ?...
October 9, 2009 Client Update General Counsel Update - October 9, 2009 Yesterday at the New York Stock Exchange, NYSE Euronext and Davis Polk co-hosted a seminar for listed companies entitled ?...
October 9, 2009 Client Update Investment Management Regulatory Update - October 2009 SEC Rules and Regulations SEC Adopts Interim Final Temporary Rule Requiring Money Market Fund Disclosure Industry Upd...
October 6, 2009 Client Update Representative Kanjorski Releases Investor Protection, Private Investment Fund Advisers Registration and Federal Insurance Office Proposals A discussion draft of legislation to regulate the over-the-counter (“OTC”) derivatives markets (the “Draft Bill”) ...
October 6, 2009 Client Update Representative Frank Releases Discussion Draft for Over-the-Counter Derivatives Reform Discussion drafts of three bills: the Investor Protection Act of 2009, the Private Fund Investment Advisers Registration A...
October 6, 2009 Client Update Representative Frank Releases Discussion Draft for Over-the-Counter Derivatives Reform Discussion drafts of three bills: the Investor Protection Act of 2009, the Private Fund Investment Advisers Registration A...
October 6, 2009 Client Update Representative Kanjorski Releases Investor Protection, Private Investment Fund Advisers Registration and Federal Insurance Office Proposals A discussion draft of legislation to regulate the over-the-counter (“OTC”) derivatives markets (the “Draft Bill”) ...
October 6, 2009 Client Update Representative Kanjorski Releases Investor Protection, Private Investment Fund Advisers Registration and Federal Insurance Office Proposals A discussion draft of legislation to regulate the over-the-counter (“OTC”) derivatives markets (the “Draft Bill”) ...
October 1, 2009 Client Update SEC Urged to Defer Adopting Proxy Access Rules A broad cross section of commenters is encouraging the Securities and Exchange Commission (the “SEC”) to take a cautio...
October 1, 2009 Client Update Rule 12g3-2(b): The Foreign Private Issuer Exemption Rule 12g3-2(b) under the US Securities Exchange Act of 1934, as amended exempts a foreign private issuer from having to re...