Insights

 
Our lawyers produce a wealth of substantive, timely and practical resource materials for our clients and friends of the firm. Listed separately below are client memos and alerts, articles and books, and podcasts.
January 22, 2020 CFIUS Issues Final FIRRMA Regulations
Client Memorandum
January 22, 2020 CFTC Staff Clarifies Guidance Regarding CCO Annual Reports
Client Memorandum
January 21, 2020 House Passes 8-K Trading Gap Act
Client Memorandum
January 17, 2020 Federal Banking Agencies Recognize the Rise of Index Funds and Passive Investing
Client Memorandum
January 16, 2020 SEC Proposes to Expand Access to Private Offerings
Client Memorandum
January 16, 2020 Encouraging Innovation: Brokered Deposits—What Fintechs Need to Know to Partner with Banks under the FDIC’s Proposed Regulations
Client Memorandum
January 16, 2020 DOJ and FTC Release Draft Vertical Merger Guidelines: a Modest and Overdue Makeover
Client Memorandum
January 15, 2020 FTC Workshop on Non-Compete Clauses Demonstrates New Interest—But Little Likelihood of Shift in Current Enforcement Approach
Client Memorandum
January 15, 2020 FSOC Shift to an Activities-Based Approach Signals an Emphasis on the Risks to Financial Stability from Digital Transformation
Client Memorandum
January 14, 2020 Estate Planning in 2020
Client Memorandum
January 14, 2020 Proposed Rule on Derivatives Use by Registered Funds
Client Memorandum
January 14, 2020 “Maximum Pressure” to the Max: United States Sanctions Additional Sectors of Iran’s Economy
Client Memorandum
January 13, 2020 SEC Re-Proposes Resource Extraction Rules
Client Memorandum
January 13, 2020 Who Is a PDMR Under MAR? The FCA Provides Some Insight
Client Memorandum
January 13, 2020 Financial Institutions Enforcement Update
Client Memorandum
January 8, 2020 The Last Piece of the Puzzle: CFTC Reopens Comment Period for Capital Requirements and Proposes Amendments to Inter-Affiliate Swap Clearing Exemption
Client Memorandum
January 7, 2020 Second Circuit Lowers the Bar for Charging Criminal Insider Trading
Client Memorandum
January 6, 2020 Davis Polk Financial Services Regulatory Reform Tool—2020 Vision Edition
Client Memorandum
January 6, 2020 SEC Issues Guidance on Disclosing Technology and IP Risks in International Operations
Client Memorandum
December 26, 2019 Investment Management Regulatory Update - December 2019
Client Newsletter
December 26, 2019 Private Equity Regulatory Update - December 2019
Client Newsletter
December 23, 2019 IASB Proposes Presentation Changes for IFRS Reporting
Client Newsflash
December 23, 2019 IRS Issues Proposed Regulations under Section 162(m)
Client Memorandum
December 19, 2019 Proposed Amendments to the Advertising and Cash Solicitation Rules for Investment Advisers
Client Memorandum
December 18, 2019 CFTC Staff Issues Guidance Regarding CCO Annual Reports
Client Memorandum
December 17, 2019 Intellectual Property and Tech Transactions Update - December 2019
Client Newsletter
December 13, 2019 FinCEN Director Highlights Value of BSA Reporting; Focuses on Persistent Beneficial Ownership Information Gap
Client Memorandum
December 12, 2019 NYSE Files Revised Direct Listing Proposal
Client Newsflash
December 11, 2019 U.S. Department of Commerce Proposes Rule Governing Information and Communications Technology and Services
Client Memorandum
December 10, 2019 Human Capital and Climate Risk Disclosure – Analysis of 2019 Mandatory and Voluntary Reporting
Client Memorandum
December 10, 2019 New York Enacts UVTA, Modernizing Fraudulent Conveyance Law
Client Memorandum
December 9, 2019 DOJ Clarifies Position on Agency Liability under the FCPA post-Hoskins; New FCPA Chief Named
Client Memorandum
December 6, 2019 SEC Rejects NYSE Proposal on Direct Listings
Client Newsflash
December 3, 2019 DOJ Clarifies Corporate Enforcement Policy
Client Memorandum
November 27, 2019 SEC Re-Proposes Rule on Derivatives Use by Registered Funds
Client Alert
November 26, 2019 UK Merger Control - CMA Interventionism on the Rise
Client Memorandum
November 26, 2019 Preparing Your 2019 Form 20-F
Client Memorandum
November 26, 2019 Investment Management Regulatory Update - November 2019
Client Newsletter
November 26, 2019 Private Equity Regulatory Update - November 2019
Client Newsletter
November 26, 2019 NYSE Direct Listing Proposal
Client Newsflash
November 21, 2019 Final Tailoring Rules for U.S. Banking Organizations
Client Memorandum
November 18, 2019 Leaning into Fairness: Executive Order On Enforcement
Client Memorandum
November 15, 2019 FTC Finds Consummated Merger Anticompetitive, Orders Assets to be Divested
Client Memorandum
November 15, 2019 Chamber of Commerce Releases Best Practices for Voluntary ESG Disclosure
Client Alert
November 14, 2019 SEC Describes Active Enforcement Program and Focus on Corporate Conduct in 2019 Annual Report
Client Memorandum
November 14, 2019 Recent Delaware Cases Reinforce Director Accountability for Risk Oversight
Client Memorandum
November 12, 2019 SEC Proposed Rules to Regulate Proxy Advisory Firms and Shareholder Proposals
Client Memorandum
November 8, 2019 New York City's Climate Mobilization Act
Client Memorandum
November 6, 2019 SEC Proposes to Raise Shareholder Proposal Eligibility Thresholds and Regulate Proxy Advisory Services
Client Alert
November 6, 2019 SEC Proposes to Modernize the Advertising and Cash Solicitation Rules for Investment Advisers
Client Alert

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