September 18, 2008 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
September 18, 2008 SEC Issues New Rules on Naked Short Sales and Plans Further Actions to Combat Market Abuses
Client Newsflash
September 8, 2008 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
September 5, 2008 Delaware Courts Reaffirm High Bar for Personal Liability of Disinterested Directors
Client Newsflash
September 5, 2008 Private Equity Newsletter
Management Equity Arrangements in Private Equity Transactions Part I: Management's Existing, Rollover and Purchased Equity Investments
September 5, 2008 SEC Votes to Adopt Sweeping Amendments and Guidance to Cross-Border Rules
Client Newsflash
September 5, 2008 White Collar Update
Client Memorandum
September 3, 2008 Shelf Registration Statements Begin to Expire in December
Client Memorandum
August 28, 2008 SEC Adopts Foreign Issuer Reporting Enhancement Rules and Certain Amendments to Rules Regarding the Rule 12g3-2(b) Exemption for Foreign Private Issuers
Client Newsflash
August 28, 2008 SEC Proposes Roadmap for Use of International Financial Reporting Standards by US Issuers
Client Newsflash
August 24, 2008 Foreign Bank Acquisitions of U.S. Bank and Thrifts (Chapter 3)
Regulation of Foreign Banks and Affiliates in the United States (5th ed.)
August 8, 2008 SEC Issues Corporate Website Guidance
Client Memorandum
August 4, 2008 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
August 4, 2008 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
August 1, 2008 Foreign Banks as U.S. Financial Holding Companies (Chapter 10)
Regulation of Foreign Banks and Affiliates in the United States (5th ed.)
August 1, 2008 Important Antitrust Decision: California Court of Appeal Affirms Availability of Antitrust Pass-On Defense in Clayworth - Argument for Pharmaceutical Industry Defendants Handled by Davis Polk
Client Newsflash
August 1, 2008 Treasury Encourages Development of Covered Bonds in the U.S. and Issues “Best Practices"
Client Memorandum
July 30, 2008 SEC Adopts Guidance on Use of Corporate Websites
Client Newsflash
July 21, 2008 AFSCME/CA--Delaware Supreme Court Rules Proxy Expense Reimbursement Proposal Invalid
Client Newsflash
July 17, 2008 SEC Issues Emergency Order Restricting the "Naked" Short Selling of Fannie Mae, Freddie Mac and Certain Other Substantial Financial Firms
Client Newsflash
July 17, 2008 SEC Issues Interpretative Letter Regarding the Cash Solicitation Rule
Client Newsflash
July 14, 2008 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
July 9, 2008 SEC Proposes to Liberalize Exchange Act Rule 15a-6 Concerning U.S. Activities of Non-U.S. Broker-Dealers
Client Memorandum
June 24, 2008 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
June 24, 2008 Insolvency and Restructuring Update
Piccadilly Cafeterias, Inc.
June 24, 2008 SEC Proposes New Rating Agency Rules
Client Memorandum
June 16, 2008 Private Equity Newsletter
What Every Private Equity Professional Should Know About ERISA’s VCOC Requirements
June 13, 2008 Court Requires Activist Hedge Funds to Disclose Swaps in CSX
Client Newsflash
June 9, 2008 FINRA Proposes Amendments to Supervision Rules
Client Memorandum
June 5, 2008 Delaware Court Ruling Puts a Spotlight on Indemnification/Expense Advancement Bylaws
Client Newsflash
June 5, 2008 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
June 1, 2008 Learned: How Funds Vote on Proxy Proposals
InvestorRelationships.com
May 28, 2008 General Counsel Update
The Consequences of Majority Voting Policies
May 23, 2008 FINRA Updates Options Rules, Requiring Firms to Modify Compliance and Supervisory Policies and Procedures
Client Memorandum
May 20, 2008 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
May 19, 2008 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
May 9, 2008 SEC Proposes Revisions to Cross-Border Rules
Client Newsflash
May 1, 2008 The Fiduciary Duties of Directors of Troubled U.S. Companies: Emerging Clarity
The International Comparative Legal Guide to: Corporate Recovery & Insolvency 2008
May 1, 2008 The Spotlight on the Independence of Compensation Consultants
The Corporate Governance Advisor
April 30, 2008 FINSA Proposed Regulations
Client Memorandum
April 16, 2008 Delaware Case Highlights Need to Include Advance Notice for Board Nominations in Bylaws
Client Newsflash
April 15, 2008 2008 Early Proxy Season Roundup
Client Memorandum
April 14, 2008 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
April 4, 2008 Private Equity Newsletter
Post-IPO Board Independence Requirements for Portfolio Companies
April 2, 2008 Private Equity Newsletter
Post-IPO Board Independence Requirements for Portfolio Companies
April 1, 2008 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
March 31, 2008 Paulson Proposes Financial Regulatory Overhaul
Client Memorandum
March 26, 2008 Regulatory Insight -- US Securities & Banking
Principles-based FINRA Rulebook
Complinet
March 24, 2008 Proposed Amendments to Regulation S-P Imposing New Compliance Burdens on Registered Broker-Dealers and Other SEC-Regulated Entities
Client Memorandum
March 21, 2008 FinCEN Clarifies the Obligations of Clearing Firms Under the Customer Identification Program Rule
Client Newsflash
March 17, 2008 Delaware Court’s Narrow Reading of CNET Bylaws Clears the Way for JANA Proxy Contest
Client Newsflash
March 17, 2008 Nasdaq Modifies SPAC Listing Proposal; SEC Publishes NYSE SPAC Listing Proposal for Comment
Client Newsflash
March 14, 2008 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
March 12, 2008 General Counsel Update
Conflicting Media Reports of CEO Compensation: A Primer
March 7, 2008 NYSE Files Proposal to Allow the Listing of SPACs
Client Newsflash
March 5, 2008 SEC Proposes New Antifraud Rule to Combat "Abusive" Naked Short Selling
Client Newsflash
February 28, 2008 Nasdaq Files Proposal to Allow Listing of SPACs
Client Newsflash
February 26, 2008 IRS Gives Relief on Application of New 162(m) Performance-Based Compensation Rules
Client Newsflash
February 22, 2008 Insolvency and Restructuring Update
Johns-Manville Corporation
February 15, 2008 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
February 15, 2008 Private Equity Newsletter
What are the Practical Implications of the Recent Amendments to Rules 144 and Rule 145?
February 15, 2008 Private Equity Newsletter
What are the Practical Implications of the Recent Amendments to Rules 144 and 145?
February 14, 2008 Another Texas District Court Interprets Reporting Covenant and Section 314(a) of the TIA to Impose Merely a Delivery and Not a Filing Obligation
Client Newsflash
February 13, 2008 SEC Proposes Amendments to Form 20-F Reporting Requirements and Exchange Act Entrance Requirements
Client Newsflash
February 7, 2008 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
January 31, 2008 IRS Ruling Reflects Changed Position On Application of $1 M Deduction Limit on Annual Compensation to Top Executives Under Internal Revenue Code Section 162(m)
Client Newsflash
January 29, 2008 Revised Jurisdictional and Exemption-Related Thresholds Under the HSR Act
Client Memorandum
January 18, 2008 Considerations for Preparation of the 2007 Annual Report on Form 20-F and other Developments for Foreign Private Issuers
Client Memorandum
January 17, 2008 Delaware Judge Blesses Accommodation with Dissident Shareholder, but Emphasizes Need for Disclosure
Client Newsflash
January 16, 2008 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
January 15, 2008 U.S. Supreme Court Issues Decision in Stoneridge Investment Partners LLC v. Scientific-Atlanta
Client Newsflash
January 11, 2008 Insolvency and Restructuring Update
American Home Mortgage
January 2, 2008 Delaware Court Upholds Cerberus's Right To Walk Away From URI, While Tennessee Court Orders Finish Line to Complete Acquisition of Genesco
Client Newsflash
January 1, 2008 CIETAC à l'épreuve de l'article 1502 CPC, note sous Paris, 1ère Ch. C, 31 janvier 2008
Revue de l'arbitrage 2008
January 1, 2008 The Structure of Financial Supervision
Approaches and Challenges in a Global Marketplace
Group of Thirty
December 14, 2007 Insolvency and Restructuring Update
SDNY Bankruptcy Court Allows Substantial Post-Petition and Default Interest for an Over-Secured Lender, but Caps the Interest Claim Based on New York's Usury Law
December 13, 2007 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
December 11, 2007 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
December 4, 2007 General Counsel Update
Rule 10b5-1 Selling Plans: Time to Revisit Corporate Policies
November 6, 2007 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
November 6, 2007 Private Equity Newsletter
Guidelines for Special Committees
November 1, 2007 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
October 1, 2007 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
September 7, 2007 Enhanced Scrutiny of Climate Change Disclosure
Environmental Update
December 7, 2006 Private Equity Funds
Go-Shop Provisions: a New Trend?
December 1, 2006 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
November 9, 2006 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
November 1, 2006 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
October 5, 2006 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
October 1, 2006 Can You Hear Me Now? Bell Atlantic v. Twombly and the Pleading Standards for Antitrust Conspiracy Claims
The Antitrust Source
October 1, 2006 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
September 11, 2006 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
September 5, 2006 Private Equity Funds
Client Newsletter
September 1, 2006 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
September 1, 2006 Law Blog Lawyer of the Day: Davis Polk's Marshall Huebner
Law Blog, The Wall Street Journal, September 2006
Law Blog, The Wall Street Journal, September 2006
August 4, 2006 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
August 1, 2006 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
July 14, 2006 Antitrust Update
July 13, 2006 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
July 13, 2006 Private Equity Newsletter
What Every Investor Should Know Before Acquiring a Large Stake in a Public Company
July 1, 2006 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
June 30, 2006 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
June 13, 2006 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
June 1, 2006 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
May 10, 2006 Private Equity Newsletter
A Fund By Any Other Name: The Convergence of Hedge Funds and Private Equity Funds
May 5, 2006 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
April 28, 2006 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
April 27, 2006 Antitrust Update
Client Newsletter
April 12, 2006 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
March 13, 2006 Antitrust Update
Client Newsletter
March 1, 2006 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
March 1, 2006 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
February 28, 2006 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
February 16, 2006 Private Equity Newsletter
Post-IPO Charter Provisions for Portfolio Companies
January 18, 2006 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
January 1, 2006 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
January 1, 2006 Trade Mark Issues in the Financial Services Industry
Trade Marks at the Limit
December 15, 2005 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
December 1, 2005 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
November 22, 2005 Private Equity Newsletter
Post-IPO Stockholders Agreements
November 9, 2005 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
November 3, 2005 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
October 13, 2005 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
September 1, 2005 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
September 1, 2005 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
August 10, 2005 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
August 1, 2005 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
July 26, 2005 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
July 1, 2005 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
June 28, 2005 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
June 7, 2005 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
May 31, 2005 Corporate Regulatory Report
A Summary of Current Regulatory Developments Affecting Publicly Listed Companies
May 10, 2005 Investment Management Regulatory Update
A Summary of Current Investment Management Regulatory Developments
April 1, 2005 Debtor-in-Possession Financing
The RMA Journal
January 1, 1998 United States Disclosure Standards for Banks
Asia Law Supplement
February 1, 1996 Modernizing Securities Ownership, Transfer and Pledging Laws
Capital Markets Forum, International Bar Association

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