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.
July 30, 2012 Exit Consents Unlawful Under English Law
Client Newsflash
May 7, 2012 SEC Staff Updates Guidance on JOBS Act
Client Memorandum
April 26, 2012 The JOBS Act: Potential Benefits for Foreign Private Issuers
Client Memorandum
April 23, 2012 SEC Issues Exemptions from Large Trader Reporting Rule
Client Newsflash
March 30, 2012 U.S. Supreme Court Holds that the Statute of Limitations for Section 16(b) Short-Swing Liability Claims Is Not Tolled
Client Newsflash
March 27, 2012 Congress Passes the JOBS Act
Client Newsflash
March 26, 2012 The JOBS Act: Implications for Capital Markets Professionals, Pre-IPO Companies and Private Offerings
Client Memorandum
March 22, 2012 U.S. Senate Passes Amended Version of the Jumpstart Our Business Startups Act
Client Newsflash
March 9, 2012 Quicker to Market? U.S. House of Representatives Passes the Jumpstart Our Business Startups Act
Client Memorandum
December 8, 2011 SEC Staff to Limit Non-Public Initial Review Process for Non-U.S. Issuers
Client Newsflash
October 31, 2011 Governance Practices for IPO Companies: A Davis Polk Survey
Client Memorandum
October 20, 2011 Cybersecurity: SEC Provides Guidance on Disclosure Considerations
Client Memorandum
October 5, 2011 SEC Large Trader Rule: Impact on Corporations and Related Individuals
Client Memorandum
September 13, 2011 FINRA Watching for Promises of Favorable Research in Exchange for Investment Banking Business
Client Newsflash
July 29, 2011 U.S. Dodd-Frank Act’s Application to Non-U.S. Issuers That are Not Financial Institutions – Rulemaking Progress Report
Client Memorandum
July 26, 2011 SEC’s Final Rules Modify Form S-3 and F-3 Transaction Eligibility Criteria for Debt Issuances
Client Newsflash
July 22, 2011 D.C. Circuit Vacates SEC Proxy Access Rule
Client Memorandum
May 25, 2011 SEC Adopts Final Whistleblower Rules
Client Newsflash
May 18, 2011 SEC Proposal Would Replace Regulation M Exemption for Investment Grade Securities
Client Memorandum
May 5, 2011 Delaware Weighs in on the Meaning of “Substantially All” for a Series of Transactions
Client Memorandum
April 12, 2011 SEC Confirms IFRS Filers Will Not be Required to Provide Interactive Data Until SEC Specifies Taxonomy
Client Newsflash
February 9, 2011 Certain Investment Grade Debt Issuers Would No Longer Qualify to Use Shelf Registration Statements Under SEC's Proposed Amendments
Client Newsflash
January 26, 2011 What a Difference a Year Makes: A Review of Acquisition Financing in 2010
Client Memorandum
January 20, 2011 Considerations for 2010 Form 10-Ks and 2011 Proxy Statements
Client Memorandum
January 18, 2011 SEC Proposes Rules Implementing Dodd-Frank Disclosure Requirements for Resource Extraction Issuers
Client Memorandum
January 18, 2011 SEC Proposes Rules to Implement Dodd-Frank Mine Safety Disclosure Requirements
Client Memorandum
January 18, 2011 SEC Proposes Rules to Implement Dodd-Frank Requirements for Conflict Minerals Originating in the Democratic Republic of Congo
Client Memorandum
November 4, 2010 SEC Proposes Whistleblower Rules
Client Newsflash
October 21, 2010 Reg FD Enforcement Update: the Perils of Implied Messages
Client Newsflash
September 21, 2010 SEC v. Cuban: The Fifth Circuit Reverses
Client Newsflash
September 20, 2010 SEC Shines a Spotlight on Short-Term Borrowings: Issues Guidance and Proposes New Disclosure Requirements
Client Memorandum
August 17, 2010 New York State Amends 2009 Power of Attorney Statute
Client Newsflash
August 13, 2010 U.S. Dodd-Frank Act’s Application to Non-U.S. Issuers That are Not Financial Institutions
Client Memorandum
July 23, 2010 Spotlight on New Disclosure Requirements for Mining and Natural Resource Companies in Dodd-Frank Act
Client Newsflash
July 21, 2010 Guidance on Use of Credit Ratings in Securities Offerings Following Dodd-Frank
Client Newsflash
July 6, 2010 NASDAQ Corporate Governance Rule Update
Client Newsflash
June 28, 2010 U.S. Supreme Court Limits Extraterritorial Application of U.S. Securities Laws—Morrison v. National Australia Bank
Client Newsflash
April 29, 2010 Investor Views Getting Attention: Proposal Permitting Pre-Filing Communications by Underwriters Stalled
Client Newsflash
March 19, 2010 Modifications to Global Research Settlement Pave Way for Chaperoned Research and Investment Banking Participation in Joint Due Diligence Sessions
Client Newsflash
February 25, 2010 Recent Second Circuit Decision Underscores Importance of Careful Consideration of Indenture Terms
Client Newsflash
January 28, 2010 SEC Removes Roadblocks to Use of Non-GAAP Measures in Filings
Client Memorandum
January 13, 2010 SEC Issues No-Action Letter Permitting Reliance Upon Section 3(a)(9) in Exchanges of Securities with Upstream Guarantees
Client Newsflash
January 7, 2010 Acquisition Financing in 2010 - Trends from 2009
Client Memorandum
December 22, 2009 SEC Proposes New Rule to Allow Pre-Filing Offerings by Underwriters, Potentially Paving the Way for More Pre-Marketed Transactions
Client Newsflash
October 15, 2009 Governance Practices for IPO Companies: A Davis Polk Survey
Client Memorandum
July 20, 2009 SEC v. Cuban: A New Decision Casts Doubt on a Key SEC Position on Insider Trading
Client Newsflash
June 18, 2009 SEC Publishes Proxy Access Proposal
Client Memorandum
May 29, 2009 FINRA May Not Clear Some Shelfs on an Expedited Basis
Client Newsflash
May 27, 2009 Senator Schumer Proposes Key Governance Changes for U.S. Public Companies
Client Newsflash
March 25, 2009 The Public-Private Investment Program
Client Memorandum

Pages

Insights Search: