Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights May 1, 2015 Client Update SEC Proposes “Pay Versus Performance” Rule On April 29, 2015, a divided Securities and Exchange Commission proposed requiring U.S. public companies to disclose the r... April 3, 2015 Client Update IRS Releases Final Regulations Under Section 162(m): Some Relief for Newly Public Companies On March 31, 2015, the Internal Revenue Service published final regulations under Section 162(m) of the Internal Revenue C... March 9, 2015 Articles & Books SEC Proposes Long-Awaited Hedging Disclosure Rule: What Does It Mean and What Should You Do Now? On Feb. 9, the SEC proposed a long-awaited rule on disclosure of company equity hedging policies, as required by the Dodd-... February 11, 2015 Client Update SEC Proposes Hedging Disclosure Rule On February 9, 2015, the SEC proposed a long-awaited rule on disclosure of company equity hedging policies, as required by... January 21, 2015 Client Update SEC Proposes Amendments to Exchange Act Rules Governing Registration Requirements On December 17, 2014, the SEC proposed rule amendments intended to make it easier for private companies to raise capital, ... December 1, 2014 Client Update European Regulatory Snapshot: CRD IV Bonus Cap Likely Set to Stay The CRD IV package, comprising the Capital Requirements Directive IV[1] (CRD IV) and the Capital Requirements Regulation[2... November 7, 2014 Client Update ISS and Glass Lewis Release Changes to Their Voting Guidelines for the 2015 Proxy Season In preparation for the 2015 proxy season, companies should be aware of the updates to the policies that govern how the two... September 23, 2014 Client Update Treasury Issues Long-Awaited Anti-Inversion Guidance The Treasury Department and the IRS yesterday released Notice 2014-52 (the “Notice”), which describes regulations that... September 4, 2014 Client Update European Regulatory Snapshot: Remuneration in the Financial Services Industry 2014 The move toward stricter regulation of remuneration in the financial services industry in the European Union has continued... June 27, 2014 Client Update U.S. Supreme Court: No Presumption of Prudence for ESOP Fiduciaries, Court Details Pleading Requirements for Breach of Prudence Claims On June 25, 2014, in Fifth Third Bancorp et al. v. Dudenhoeffer et al., the U.S. Supreme Court unanimously overturned the ... Load More
May 1, 2015 Client Update SEC Proposes “Pay Versus Performance” Rule On April 29, 2015, a divided Securities and Exchange Commission proposed requiring U.S. public companies to disclose the r...
April 3, 2015 Client Update IRS Releases Final Regulations Under Section 162(m): Some Relief for Newly Public Companies On March 31, 2015, the Internal Revenue Service published final regulations under Section 162(m) of the Internal Revenue C...
March 9, 2015 Articles & Books SEC Proposes Long-Awaited Hedging Disclosure Rule: What Does It Mean and What Should You Do Now? On Feb. 9, the SEC proposed a long-awaited rule on disclosure of company equity hedging policies, as required by the Dodd-...
February 11, 2015 Client Update SEC Proposes Hedging Disclosure Rule On February 9, 2015, the SEC proposed a long-awaited rule on disclosure of company equity hedging policies, as required by...
January 21, 2015 Client Update SEC Proposes Amendments to Exchange Act Rules Governing Registration Requirements On December 17, 2014, the SEC proposed rule amendments intended to make it easier for private companies to raise capital, ...
December 1, 2014 Client Update European Regulatory Snapshot: CRD IV Bonus Cap Likely Set to Stay The CRD IV package, comprising the Capital Requirements Directive IV[1] (CRD IV) and the Capital Requirements Regulation[2...
November 7, 2014 Client Update ISS and Glass Lewis Release Changes to Their Voting Guidelines for the 2015 Proxy Season In preparation for the 2015 proxy season, companies should be aware of the updates to the policies that govern how the two...
September 23, 2014 Client Update Treasury Issues Long-Awaited Anti-Inversion Guidance The Treasury Department and the IRS yesterday released Notice 2014-52 (the “Notice”), which describes regulations that...
September 4, 2014 Client Update European Regulatory Snapshot: Remuneration in the Financial Services Industry 2014 The move toward stricter regulation of remuneration in the financial services industry in the European Union has continued...
June 27, 2014 Client Update U.S. Supreme Court: No Presumption of Prudence for ESOP Fiduciaries, Court Details Pleading Requirements for Breach of Prudence Claims On June 25, 2014, in Fifth Third Bancorp et al. v. Dudenhoeffer et al., the U.S. Supreme Court unanimously overturned the ...