Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights January 21, 2014 Client Update Governance Practices for IPO Companies: A Davis Polk Survey - January 2014 Amid the recent uptick in U.S. IPO transactions to levels not seen since the heady days of 1999 and 2000, Davis Polk’s p... December 4, 2013 Client Update Nasdaq Proposes More Flexible Compensation Committee Independence Standards The NYSE and Nasdaq listing standards governing the independence of compensation committee members, as required under Dodd... October 30, 2013 Client Update U.S. Basel III Liquidity Coverage Ratio Proposal: Visual Memorandum The U.S. banking agencies have issued a proposal to implement the Basel III liquidity coverage ratio (LCR) in the United S... August 8, 2013 Client Update European Regulatory Snapshot: Remuneration in the Financial Services Industry The move toward stricter regulation of remuneration in the financial services industry in the European Union has resulted ... August 6, 2013 Client Update First Circuit Sun Capital Decision Increases ERISA Exposure for Private Equity Funds On July 24, 2013, in a controversial ruling in the Sun Capital case, the U.S. Court of Appeals for the First Circuit endor... May 3, 2013 Client Update Compensation Committee and Adviser Implementation Begins July 1: What to Do Now As discussed in our previous memo, in January 2013, the SEC approved amendments to the NYSE and Nasdaq listing standards r... April 23, 2013 Client Update Recent European Compensation Developments: Financial Institutions and Beyond Almost half a decade after the onset of the financial crisis, populist sentiment and the resulting political environment c... February 20, 2013 Client Update Delaware Court of Chancery Declines to Dismiss Claims Against U.S. Independent Directors for Failure to Monitor China-Based Company In a bench ruling issued on February 6 in In re Puda Coal, Inc. Stockholders Litig., the Delaware Court of Chancery declin... January 22, 2013 Client Update SEC Approves the NYSE and Nasdaq Listing Standards on Compensation Committees and Advisers On January 11, 2013, the SEC approved the NYSE and Nasdaq listing standards, as amended, to implement the SEC’s requirem... January 17, 2013 Client Update Recent Developments in Executive Compensation Litigation In the current environment and in the wake of Dodd-Frank mandated rules requiring shareholder advisory votes on executive ... Load More
January 21, 2014 Client Update Governance Practices for IPO Companies: A Davis Polk Survey - January 2014 Amid the recent uptick in U.S. IPO transactions to levels not seen since the heady days of 1999 and 2000, Davis Polk’s p...
December 4, 2013 Client Update Nasdaq Proposes More Flexible Compensation Committee Independence Standards The NYSE and Nasdaq listing standards governing the independence of compensation committee members, as required under Dodd...
October 30, 2013 Client Update U.S. Basel III Liquidity Coverage Ratio Proposal: Visual Memorandum The U.S. banking agencies have issued a proposal to implement the Basel III liquidity coverage ratio (LCR) in the United S...
August 8, 2013 Client Update European Regulatory Snapshot: Remuneration in the Financial Services Industry The move toward stricter regulation of remuneration in the financial services industry in the European Union has resulted ...
August 6, 2013 Client Update First Circuit Sun Capital Decision Increases ERISA Exposure for Private Equity Funds On July 24, 2013, in a controversial ruling in the Sun Capital case, the U.S. Court of Appeals for the First Circuit endor...
May 3, 2013 Client Update Compensation Committee and Adviser Implementation Begins July 1: What to Do Now As discussed in our previous memo, in January 2013, the SEC approved amendments to the NYSE and Nasdaq listing standards r...
April 23, 2013 Client Update Recent European Compensation Developments: Financial Institutions and Beyond Almost half a decade after the onset of the financial crisis, populist sentiment and the resulting political environment c...
February 20, 2013 Client Update Delaware Court of Chancery Declines to Dismiss Claims Against U.S. Independent Directors for Failure to Monitor China-Based Company In a bench ruling issued on February 6 in In re Puda Coal, Inc. Stockholders Litig., the Delaware Court of Chancery declin...
January 22, 2013 Client Update SEC Approves the NYSE and Nasdaq Listing Standards on Compensation Committees and Advisers On January 11, 2013, the SEC approved the NYSE and Nasdaq listing standards, as amended, to implement the SEC’s requirem...
January 17, 2013 Client Update Recent Developments in Executive Compensation Litigation In the current environment and in the wake of Dodd-Frank mandated rules requiring shareholder advisory votes on executive ...