July 14, 2015 Investment Management Regulatory Update - July 2015
Client Newsletter
July 10, 2015 SEC Ponders Expanding Audit Committee Disclosure
Client Memorandum
July 8, 2015 SEC Proposes Dodd-Frank Clawback Rule
Client Memorandum
July 3, 2015 ESMA Assessment of Equivalence of Israeli Laws and Regulations on Prospectuses
Client Memorandum
July 1, 2015 Recent Compensation-Related Tax Developments
Client Memorandum
June 29, 2015 Third Circuit Holds Non-Cash Consideration – Such As “No Authorized Generic” Agreements – Can Constitute Unlawful “Pay For Delay”
Client Memorandum
June 24, 2015 SEC and CFTC Turn to Swaps and Security-Based Swaps Enforcement
Client Memorandum
June 22, 2015 Investment Management Regulatory Update - June 2015
Client Newsletter
June 18, 2015 SEC Proposes Rules to Modernize and Enhance Information Reported by Investment Companies and Investment Advisers
Client Memorandum
June 11, 2015 D.C. Circuit Upholds FTC Premerger Notification Rules Related to the Transfer of Exclusive Patent Rights in the Pharmaceutical Industry
Client Memorandum
June 5, 2015 New York’s Final "BitLicense" Rule: Overview and Changes from the July 2014 Proposal
Client Memorandum
June 1, 2015 SEC Re-Proposes Rules on Arranging, Negotiating or Executing Security-Based Swaps in the United States
Client Newsletter
May 29, 2015 Iran Nuclear Agreement Review Act Becomes Law
Client Memorandum
May 29, 2015 Second Circuit Finds “Product Hopping” By a Pharmaceutical Company to Violate Antitrust Laws
Client Memorandum
May 21, 2015 Business Email Compromise Scams Pose Significant Risk
Client Memorandum
May 20, 2015 Investment Management Regulatory Update - May 2015
Client Newsletter
May 13, 2015 BE-10 Filing Deadline Nears for U.S. Companies With Foreign Subsidiaries and Other Affiliates
Client Memorandum
May 12, 2015 Delaware Court of Chancery Subjects Non-Employee Director Compensation to the “Entire Fairness” Standard
Client Memorandum
May 11, 2015 China Opens Bank Card Clearing Market to Foreign Competition
Client Memorandum
May 11, 2015 Department of Labor – Fiduciary Advice Definition and Conflict of Interest Rule
Client Memorandum
May 6, 2015 BE-10 Filing Deadline Nears for U.S. Companies With Foreign Subsidiaries and Other Affiliates
Client Memorandum
May 1, 2015 Intarcia Pre-Commercial Royalty Financing: the Start of a New Trend or One-Off Deal?
Client Memorandum
May 1, 2015 SEC Proposes “Pay Versus Performance” Rule
Client Memorandum
April 27, 2015 Investment Management Regulatory Update - April 2015
Client Newsletter
April 6, 2015 FINRA Issues Regulatory Notices on Algorithmic Trading Strategies
Client Memorandum
April 3, 2015 IRS Releases Final Regulations Under Section 162(m): Some Relief for Newly Public Companies
Client Memorandum
April 2, 2015 SEC Announces Enforcement Action Against Restrictive Language in Confidentiality Agreements
Client Memorandum
April 1, 2015 Dodd-Frank Progress Report: First Quarter 2015
Client Newsletter
March 30, 2015 SEC Adopts Final Regulation A+ Rules
Client Memorandum
March 26, 2015 Investment Management Regulatory Update - March 2015
Client Newsletter
March 2, 2015 SEC Issues Reporting Rules for Security-Based Swaps
Client Memorandum
February 18, 2015 Proxy Access – a Decision Framework
Client Memorandum
February 18, 2015 Investment Management Regulatory Update - February 2015
Client Newsletter
February 11, 2015 SEC Proposes Hedging Disclosure Rule
Client Memorandum
January 28, 2015 China Antitrust Review 2014
Client Memorandum
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 26, 2015 Global Distress Signal
Developments in International and Cross-Border Insolvency
January 23, 2015 New Procedures for Shortened Debt Tender Offers; Relief Extended to High-Yield Debt
Client Memorandum
January 21, 2015 SEC Proposes Amendments to Exchange Act Rules Governing Registration Requirements
Client Memorandum
January 20, 2015 HSR Filing Thresholds and New Reporting Requirements for Foreign Investments in U.S. Entities
Client Memorandum
January 20, 2015 Investment Management Regulatory Update - January 2015
Client Newsletter
January 19, 2015 Placee Independence – Key Takeaways from the Latest SFC Disciplinary Actions
Client Memorandum
January 15, 2015 Revised Jurisdictional Thresholds Under the HSR Act and For the Prohibition of Interlocking Directorates
Client Memorandum
January 9, 2015 UK Takeover Code – Post-Offer Statements and Miscellaneous Changes
Client Memorandum
January 8, 2015 IRS Internal Memorandum Concludes Offshore Fund Engaged in Lending and Underwriting Business in the United States
Client Memorandum
January 6, 2015 CFTC Staff Issues CCO Annual Report Guidance and Related Deadline Extension
Client Memorandum
January 5, 2015 Dodd-Frank Progress Report
Client Newsletter
December 21, 2014 Delaware Supreme Court Reverses Preliminary Injunction Requiring Go-Shop; Reaffirms “No Single Blueprint” to Satisfy Revlon Duties
Client Memorandum
December 17, 2014 Swaps Pushout Provision Amended: Pushout Requirement in Section 716 Now Limited to Certain ABS Swaps
Client Memorandum
December 16, 2014 Investment Management Regulatory Update
Client Memorandum

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