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 29, 2015 UK Takeover Code - Dividends, Acting in Concert and Restrictions and Suspensions of Voting Rights
Client Memorandum
October 13, 2015 UK Takeover Code – Offer-Related Arrangements and Equality of Information to Competing Offerors
Client Memorandum
September 25, 2015 NYSE Expands Pre-Market Material News Policy and Trading Halt Authority Effective September 28
Client Memorandum
August 10, 2015 SEC Adopts Final Pay Ratio Disclosure Rule
Client Memorandum
July 27, 2015 Getting the Deal Through
Corporate Governance 2015
Reproduced with permission from Law Business Research Ltd.
July 10, 2015 SEC Ponders Expanding Audit Committee Disclosure
Client Memorandum
July 8, 2015 SEC Proposes Dodd-Frank Clawback Rule
Client Memorandum
May 12, 2015 Delaware Court of Chancery Subjects Non-Employee Director Compensation to the “Entire Fairness” Standard
Client Memorandum
May 1, 2015 SEC Proposes “Pay Versus Performance” Rule
Client Memorandum
April 3, 2015 IRS Releases Final Regulations Under Section 162(m): Some Relief for Newly Public Companies
Client Memorandum
February 18, 2015 Proxy Access – a Decision Framework
Client Memorandum
February 11, 2015 SEC Proposes Hedging Disclosure Rule
Client Memorandum
January 23, 2015 New Procedures for Shortened Debt Tender Offers; Relief Extended to High-Yield Debt
Client Memorandum
December 21, 2014 Delaware Supreme Court Reverses Preliminary Injunction Requiring Go-Shop; Reaffirms “No Single Blueprint” to Satisfy Revlon Duties
Client Memorandum
December 1, 2014 European Regulatory Snapshot: CRD IV Bonus Cap Likely Set to Stay
Client Memorandum
November 7, 2014 Risk Governance: Visual Memorandum on Final Guidelines Issued by the OCC
Client Memorandum
November 7, 2014 ISS and Glass Lewis Release Changes to Their Voting Guidelines for the 2015 Proxy Season
Client Memorandum
September 25, 2014 Corporate Governance Update: Remuneration and Risk Management
Client Memorandum
September 23, 2014 Treasury Issues Long-Awaited Anti-Inversion Guidance
Client Memorandum
September 23, 2014 U.S. Basel III Liquidity Coverage Ratio Final Rule
Client Memorandum
September 4, 2014 European Regulatory Snapshot: Remuneration in the Financial Services Industry 2014
Client Memorandum
August 1, 2014 Corporate Governance Practices in IPOs
Corporate Governance Advisor, July/August 2014
July 30, 2014 A Review of the First Wave of Conflict Mineral Filings
Client Memorandum
July 2, 2014 Corporate Governance 2014: Global Overview
Getting the Deal Through − Corporate Governance 2014
July 1, 2014 SEC Guidance on Use of Proxy Advisory Firms for Voting Proxies
Client Memorandum
June 27, 2014 U.S. Supreme Court: No Presumption of Prudence for ESOP Fiduciaries, Court Details Pleading Requirements for Breach of Prudence Claims
Client Memorandum
June 18, 2014 Whistleblower Update: SEC Resolves First Case Under New Authority to Bring Anti-Retaliation Claim
Client Memorandum
June 9, 2014 Recent Developments in Whistleblower Protections: Legal Analysis and Practical Implications
Client Memorandum
May 6, 2014 The Second Circuit Issues Decision of First Impression With Respect to Morrison and Extraterritoriality
Client Newsflash
May 5, 2014 Delaware Court Declines to Enjoin Sotheby’s Annual Meeting
Client Memorandum
May 2, 2014 Conflict Minerals Update: SEC Formally Stands by Staff Guidance
Client Newsflash
April 29, 2014 DOJ and SEC Announce Filing of FCPA Enforcement Action Against Broker-Dealer Executives
Client Memorandum
April 29, 2014 SEC (Mostly) Forges Ahead on Conflict Minerals
Client Newsflash
April 21, 2014 2014 Proxy Season: Early Indications
Client Memorandum
April 17, 2014 Corporate Governance Practices in US Initial Public Offerings
Director Notes, April 2014, The Conference Board
April 14, 2014 D.C. Circuit Court Partially Invalidates Conflict Minerals Rule
Client Newsflash
April 2, 2014 U.S. Intermediate Holding Company: Structuring and Regulatory Considerations for Foreign Banks
Visual Memorandum
March 26, 2014 D.C. District Court Orders Production of Internal Compliance Investigation Materials
Client Memorandum
January 29, 2014 SEC Staff Issues Further Guidance on the Proxy “Unbundling” Rule
Client Newsflash
January 21, 2014 Governance Practices for IPO Companies: A Davis Polk Survey
Client Memorandum
December 11, 2013 PCAOB Proposals Would Significantly Impact Public Company Audits
Client Newsflash
December 4, 2013 Nasdaq Proposes More Flexible Compensation Committee Independence Standards
Client Newsflash
November 7, 2013 Enhancing the Effectiveness of the UK Listing Regime – Feedback and Further Consultation
Client Memorandum
October 30, 2013 U.S. Basel III Liquidity Coverage Ratio Proposal: Visual Memorandum
Client Memorandum
October 30, 2013 Exclusive Forum Provisions: Is Now the Time to Act?
Client Newsflash
October 22, 2013 U.K. Takeover Panel Amends Regime for Profit Forecasts and Quantified Financial Benefits Statements
Client Memorandum
September 27, 2013 No SEC Shutdown
Client Memorandum
September 20, 2013 Proposed Pay Ratio Disclosure Rule Released by the SEC
Client Memorandum
September 10, 2013 PCAOB Proposals Would Significantly Expand Auditor Responsibility
Client Newsflash
August 8, 2013 European Regulatory Snapshot: Remuneration in the Financial Services Industry
Client Memorandum

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