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February 23, 2018 SEC Issues Updated Cybersecurity Guidance
Client Memorandum
February 21, 2018 Getting the Deal Through: Shareholder Activism & Engagement Trends and Developments in the UK 2018

Law Business Research Ltd.

February 7, 2018 NYSE Introduces New Rules for Direct Listings
Client Memorandum
January 31, 2018 Reminder for NYSE-Listed Companies: Expanded Hours for Dividend Notices Begin February 1
Client Memorandum
January 22, 2018 Potential SEC Shutdown - 18 Law Firm Consensus Report
Client Memorandum
January 8, 2018 UK Takeover Code – Asset Sales; Statements of Intention and Post-Offer Undertakings
Client Memorandum
December 21, 2017 The New Tax Regime - Disclosure Considerations for Public Companies
Client Memorandum
December 20, 2017 UK Listing Regime – Developments Over the Last 12 Months
Client Memorandum
December 14, 2017 Preparing Your 2017 Form 20-F
Client Memorandum
December 8, 2017 NYSE Requires Listed Companies to Delay Issuing Material News Immediately After Market Close
Client Memorandum
November 20, 2017 Private M&A 2018: Law, Regulation and Market Practice
Getting the Deal Through: Private M&A 2018

Law Business Research Ltd.

November 6, 2017 SEC Issues Three No-Action Letters to Facilitate Cross-Border Implementation of MiFID II's Research Provisions
Client Memorandum
November 3, 2017 House Passes Two Bipartisan Bills to Facilitate Securities Offerings
Client Memorandum
October 18, 2017 Tighter UK Foreign Investments Rules on the Horizon
Client Memorandum
October 16, 2017 SEC Releases Proposal Aimed at Simplifying Public Company Disclosure
Client Memorandum
October 2, 2017 New Revenue Recognition Rules Could Create a Speed Bump for Offerings in 2018
Client Memorandum
September 12, 2017 UK Takeover Code Update - September 2017
Client Memorandum
August 10, 2017 D.C. Circuit Raises the Bar on SEC Review of SRO Rule Filings—May Further Slow Pace of Agency Actions
Client Memorandum
July 25, 2017 France’s Reform Agenda: Overview of Key Announcements
Client Memorandum
July 24, 2017 FCA Consultation on a New Category of Premium Listing for Sovereign Controlled Companies
Client Memorandum
July 5, 2017 SEC Staff Expands Ability to File Registration Statements on a Nonpublic Basis
Client Memorandum
June 26, 2017 Issue 12: Lex et Brexit — Supervisory Convergence in Financial Services and Proposals Amend the EMIR Supervisory Regime
Client Newsletter
April 5, 2017 Issue 11: Lex et Brexit — Cross-border models for financial services and SEs and cross-border mergers
Client Newsletter
March 24, 2017 SEC Approves Move to T+2 Standard Settlement Cycle in September 2017
Client Memorandum
March 21, 2017 Getting the Deal Through: Shareholder Activism & Engagement Trends and Developments in the UK 2017

Law Business Research Ltd.

March 7, 2017 SEC Requires Active Hyperlinks in Exhibit Indexes Beginning September 2017; Proposes Inline XBRL
Client Memorandum
March 6, 2017 Companies Reporting in IFRS Must Meet XBRL Requirements Starting in 2018
Client Memorandum
February 21, 2017 FCA Launches Consultation on Effectiveness of UK Primary Capital Markets and Amendments to Listing Rules
Client Memorandum
February 16, 2017 Recent UK and US Merger Control Developments
Client Memorandum
February 14, 2017 Resource Extraction Disclosure Repealed
Client Memorandum
February 7, 2017 ESMA Practical Guide to National Rules on Notifications of Major Shareholdings Across EEA under the Transparency Directive
Client Memorandum
January 30, 2017 Issue 10: Lex et Brexit — The Miller Case and Brexit for Benchmark Administrators in the UK
Client Newsletter
December 8, 2016 Preparing Your 2016 Form 20-F
Client Memorandum
December 2, 2016 Setting the Stage for Comprehensive Tax Reform
Client Memorandum
November 30, 2016 Issue 9: Lex et Brexit — The Cliff Edge and New Proposals for EU Intermediate Holding Companies
Client Newsletter
November 4, 2016 Brexit: Article 50 and the Miller Case
Client Memorandum
October 24, 2016 Issue 8: Lex et Brexit — The Law and Brexit
Client Newsletter
October 7, 2016 Tax Journal: UK Tax Issues on US Merger Agreements
September 30, 2016 Issue 7: Lex et Brexit — The Law and Brexit
Client Newsletter
September 28, 2016 The Capital Markets Union: an update on the European Commission’s proposal for a new EU Prospectus Regulation
Client Memorandum
September 21, 2016 UK Takeover Panel Publishes New Edition of the Takeover Code
Client Memorandum
September 16, 2016 Issue 6: Lex et Brexit — The Law and Brexit
Client Newsletter
September 1, 2016 Issue 5: Lex et Brexit — The Law and Brexit
Client Newsletter
August 19, 2016 Issue 4: Lex et Brexit — The Law and Brexit
Client Newsletter
August 5, 2016 Issue 3: Lex et Brexit — The Law and Brexit
Client Newsletter
July 29, 2016 Insuring M&A Tax Risk
Tax Journal
July 22, 2016 Issue 2: Lex et Brexit — The Law and Brexit
Client Newsletter
July 9, 2016 Issue 1: Lex et Brexit — The Law and Brexit
Client Newsletter
June 24, 2016 Legal Implications of Brexit
Client Memorandum
June 15, 2016 The New EU Market Abuse Regulation: Key Issues for U.S. Issuers
Client Memorandum
May 10, 2016 New Guidance on Best Practice for Disapplying Pre-Emption Rights for UK Premium Listed Companies
Client Memorandum
March 17, 2016 Getting the Deal Through: Shareholder Activism & Engagement 2016
Law Business Research Ltd.
March 15, 2016 EU Prospectus Regime - Prospectus Approval and Publication, and Dissemination of Advertisements
Client Memorandum
March 10, 2016 New Register of ‘People with Significant Control’ over UK Companies – One Month to Implementation
Client Memorandum
February 25, 2016 UK Takeover Panel Consultation on Communication and Distribution of Information During an Offer
Client Memorandum
January 27, 2016 Corruption in 2015: Key Takeaways
Client Newsletter
December 17, 2015 Preparing Your 2015 Form 20-F
Client Memorandum
December 4, 2015 European Commission Proposal for a New EU Prospectus Regulation
Client Memorandum
November 19, 2015 European Regulatory Snapshot: FCA Consultation on Implementation of the Market Abuse Regulation
Client Memorandum
November 10, 2015 Federal Reserve’s Proposed Rule on TLAC and Eligible LTD
Client Memorandum
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 8, 2015 European Regulatory Snapshot: Remuneration in the Financial Services Industry 2015
Client Memorandum
July 3, 2015 ESMA Assessment of Equivalence of Israeli Laws and Regulations on Prospectuses
Client Memorandum
June 12, 2015 Amazon Branches Out
Views on Recent Developments in Tax
January 27, 2015 SDNY Issues Novel Opinion Holding that Out-of-Court Restructurings May Violate Noteholder Rights Under the Trust Indenture Act
Client Memorandum
January 20, 2015 HSR Filing Thresholds and New Reporting Requirements for Foreign Investments in U.S. Entities
Client Memorandum
January 9, 2015 UK Takeover Code – Post-Offer Statements and Miscellaneous Changes
Client Memorandum
December 12, 2014 Preparing Your 2014 Form 20-F
Client Memorandum
December 11, 2014 United Kingdom’s “Google Tax” – Government Unveils Draft Rules
Client Memorandum
December 1, 2014 European Regulatory Snapshot: CRD IV Bonus Cap Likely Set to Stay
Client Memorandum
November 27, 2014 UK Takeover Code – Miscellaneous Changes and Practice Statement 28
Client Memorandum
October 20, 2014 CoCos: Coming of Age?
The Euromoney International Debt Capital Markets Handbook 2015, Euromoney Yearbooks
September 30, 2014 UK Sponsor Regime: Rule Changes and Further Consultation
Client Memorandum
September 25, 2014 Corporate Governance Update: Remuneration and Risk Management
Client Memorandum
September 4, 2014 European Regulatory Snapshot: Remuneration in the Financial Services Industry 2014
Client Memorandum
August 12, 2014 Share Capital Management and Transaction Guidelines
Client Memorandum
August 1, 2014 UK Takeover Panel proposals to amend the Takeover Code
Client Memorandum
July 24, 2014 Investment Management Regulatory Update
Client Newsletter
June 23, 2014 Investment Management Regulatory Update
Client Newsletter
May 28, 2014 Investment Management Regulatory Update
Client Newsletter
May 16, 2014 Enhancing the Effectiveness of the UK Listing Regime – implementation
Client Memorandum
March 24, 2014 Investment Management Regulatory Update
Client Newsletter
March 14, 2014 U.K. Companies Listing in the U.S.
Tax Journal
February 4, 2014 UK Financial Conduct Authority Consultation on Sponsor Competence
Client Memorandum
January 27, 2014 Investment Management Regulatory Update
Client Newsletter
January 23, 2014 Preparing Your 2013 Form 20-F
Client Memorandum
January 3, 2014 Comment: Regulatory Predictions for 2014
January 1, 2014 IFLR Bankers’ Counsel Poll: European Capital Markets
International Financial Law Review
December 20, 2013 Investment Management Regulatory Update
Client Newsletter
November 26, 2013 Investment Management Regulatory Update
November 7, 2013 Enhancing the Effectiveness of the UK Listing Regime – Feedback and Further Consultation
Client Memorandum
November 5, 2013 Prospectus Disclosure Regime in Europe
Client Memorandum
November 1, 2013 The International Capital Markets Review: United Kingdom
Law Business Research
October 30, 2013 U.S. Basel III Liquidity Coverage Ratio Proposal: Visual Memorandum
Client Memorandum
October 24, 2013 European Regulatory Snapshot: The Amended Transparency Directive
Client Memorandum
October 22, 2013 U.K. Takeover Panel Amends Regime for Profit Forecasts and Quantified Financial Benefits Statements
Client Memorandum
October 22, 2013 The Cross-border Impact of the Dodd-Frank Act
October 22, 2013 Investment Management Regulatory Update
Client Newsletter
October 1, 2013 Acquisitions and Disposals by Listed Companies
Institute of Chartered Secretaries and Administrators
September 26, 2013 Investment Management Regulatory Update
Client Newsletter
August 8, 2013 European Regulatory Snapshot: Remuneration in the Financial Services Industry
Client Memorandum
June 12, 2013 Prospectus Liability Regimes in Europe – June 2013
Client Newsflash
June 4, 2013 The Impact of the Alternative Investment Fund Managers Directive on Non-E.U. Managers of Non-E.U. Funds
Client Memorandum
May 21, 2013 U.K. Takeover Panel Response to Consultation – May 2013
Client Newsflash
April 23, 2013 Recent European Compensation Developments: Financial Institutions and Beyond
Client Memorandum
March 5, 2013 U.S. Supreme Court Confirms that Limitations Period for Certain Federal Enforcement Actions Begins When Fraud Occurs; Application In FCPA Matters Remains Unclear
Client Memorandum
January 18, 2013 Preparing Your 2012 Form 20-F
Client Memorandum
December 17, 2012 Visuals: Dodd-Frank Proposal for Foreign Banking Organizations
December 17, 2012 Dodd-Frank Enhanced Prudential Standards for Foreign Banking Organizations – Summary with Visuals
Client Memorandum
December 2, 2012 Governor Tarullo Foreshadows Proposal to Ring-Fence Large U.S. Operations of Foreign Banks
Client Memorandum
November 16, 2012 DOJ and SEC Issue FCPA Guidance
Client Memorandum
August 21, 2012 DOJ Provides FCPA Guidance for Mergers and Acquisitions; Continues Industry-Wide Investigations and Focus on China
Client Memorandum
July 30, 2012 Exit Consents Unlawful Under English Law
Client Newsflash
July 12, 2012 U.K. Takeover Panel Consultations – July 2012
Client Newsflash
June 25, 2012 U.K. Announces Proposals Intended to Curb Executive Compensation
Client Memorandum
January 17, 2012 Preparing Your 2011 Form 20-F
Client Memorandum
June 2, 2010 Financial Reform Side-by-Side Comparison Chart – Key Senate and House Bill Issues
Client Memorandum