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.
October 2, 2009 EPA Announces Scope of Future Greenhouse Gas (GHG) Emission Regulations
Environmental Update
October 2, 2009 Second Circuit Clears Path for Climate Change Public Nuisance Lawsuits
Environmental Update
October 2, 2009 FINRA Proposes Amendments to Communications Rules, Including New Pre-Filing Requirements for Structured Products Communications
Client Memorandum
October 1, 2009 Rule 12g3-2(b): The Foreign Private Issuer Exemption
Client Memorandum
October 1, 2009 SEC Urged to Defer Adopting Proxy Access Rules
Client Memorandum
September 30, 2009 ルール12g3-2(b):海外民間発行体の適用除外(参考和訳)
Client Memorandum
September 29, 2009 Insolvency and Restructuring Update
In re Lehman Brothers Holdings, Inc.
September 25, 2009 General Counsel Update
SEC Settlement Underscores Value of Regulation FD Training and Compliance Programs
September 23, 2009 IRS Releases Internal Memorandum Regarding Lending in the United States by Foreign Persons
Client Newsflash
September 21, 2009 SEC Proposes to Ban “Flash” Orders; Announces Broad Review of Market Structure Issues
Client Newsflash
September 14, 2009 Insolvency and Restructuring Update
In re American Home Mortgage Holdings, Inc.
September 9, 2009 Asia M&A / Private Equity Newsletter
Renminbi Private Equity Funds - Opportunities and Limitations
September 3, 2009 Investment Management Regulatory Update
Client Newsletter
August 31, 2009 FDIC Extends Cautious Welcome To Private Capital Investments In Failed Banks
Client Memorandum
August 31, 2009 Short Sales: SEC Staff Provides Guidance on Short Sale Order-Marking Issues, Updates Regulation SHO FAQs
Client Newsflash
August 24, 2009 Davis Polk Antitrust Update
Client Newsflash
August 18, 2009 Insolvency and Restructuring Update
In re General Growth Properties, Inc.
August 17, 2009 Obama Administration Proposes Sweeping Legislation to Regulate Over-The-Counter Derivatives
Client Newsflash
August 10, 2009 Davis Polk Comment Letter on the FDIC's Proposed Policy Statement on Private Equity
Comment Letter
August 7, 2009 Extension of FBAR Filing Deadline to June 30, 2010 for Certain Persons
Client Newsflash
August 6, 2009 SEC Announces Significant Enforcement Initiatives
Client Newsflash
August 5, 2009 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
July 29, 2009 SEC Charges Perry Capital with Disclosure Violations in Connection with Alleged Vote Buying
Client Newsflash
July 28, 2009 Short Sales: SEC Adopts Final Rule 204, Allows Rule 10a-3T (Form SH) to Expire and Announces Other Short Sale Initiatives
Client Newsflash
July 28, 2009 The Regulatory Reform Marathon
Client Memorandum
July 24, 2009 SEC v. Dorozhko: The Second Circuit’s View of Section 10(b) “Deception”
Client Newsflash
July 20, 2009 Treasury Seeks Legislation to Enact Say on Pay and Compensation Committees Changes for All U.S. Public Companies
Client Newsflash
July 20, 2009 Insolvency and Restructuring Update
In re QSI Holdings, Inc.
July 20, 2009 Update on the Derivatives Provisions in the American Clean Energy and Security Act of 2009
Client Memorandum
July 20, 2009 SEC v. Cuban: A New Decision Casts Doubt on a Key SEC Position on Insider Trading
Client Newsflash
July 17, 2009 Private Fund Investment Advisers Registration Act
Client Newsflash
July 17, 2009 Additional Compensation and Corporate Governance Disclosure Requirements for 2010 Proxy Season
Client Memorandum
July 16, 2009 U.S. House of Representatives Approves Landmark Climate Change Legislation
Client Memorandum
July 15, 2009 Zacharias v. SEC: D.C. Circuit Affirms SEC’s Finding of Section 5 Violations
Client Memorandum
July 13, 2009 Investor Protection Act of 2009
Client Newsflash
July 7, 2009 General Counsel Update
Excluding Shareholder Proposals: Lessons From the 2009 Proxy Season
July 6, 2009 FDIC Proposes Conditions for Investments in Failed Banks by Private Capital Investors
Client Memorandum
July 1, 2009 SEC Eliminates Broker Discretionary Vote for Director Elections in 2010, Proposes "Better" Proxy Disclosures and Codifies TARP Recipients "Say on Pay"
Client Newsflash
July 1, 2009 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
July 1, 2009 Consumer Financial Protection Agency Act of 2009
Client Newsflash
June 30, 2009 Private Equity Newsletter
What To Do When Your Portfolio Company Is in Financial Distress
June 25, 2009 Insolvency and Restructuring Update
Two Recent Significant Decisions in Federal Bankruptcy Law
June 24, 2009 FTC Fines CEO $1.4 Million For Failure To File Under HSR Act After Purchasing Company Stock
Client Newsflash
June 24, 2009 Extension of FBAR Filing Deadline for Certain Offshore Investments
Client Memorandum
June 23, 2009 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
June 22, 2009 A New Foundation for Financial Regulation?
Client Memorandum
June 18, 2009 SEC Publishes Proxy Access Proposal
Client Memorandum
June 17, 2009 Treasury Regulations Governing Compensation for TARP Participants
Client Memorandum
June 17, 2009 Obama Administration White Paper on Financial Regulatory Reform: Executive Summary and Outline of Key Proposals
Client Newsflash
June 11, 2009 Obama Administration to Push for Legislation Mandating Say on Pay and Additional Independence Standards for Compensation Committee For All U.S. Public Companies
Client Newsflash

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