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October 7, 2014 Momentive Ruling Highlights Risks to Senior Creditors Under Intercreditor Agreements
Client Memorandum
October 1, 2014 Dodd-Frank Progress Report
Client Newsletter
September 30, 2014 FINRA To Propose Market Structure Actions
Client Memorandum
September 30, 2014 UK Sponsor Regime: Rule Changes and Further Consultation
Client Memorandum
September 30, 2014 Investment Management Regulatory Update
Client Newsletter
September 30, 2014 FinCEN’s Proposed Rule to Enhance Customer Due Diligence Requirements for Financial Institutions – Comments Due October 3, 2014
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 22, 2014 GlaxoSmithKline Found Guilty of Bribery and Hit with Record Fines in China
Client Memorandum
September 19, 2014 Les L-Shares primées par le forum pour l’investissement responsable
Client Memorandum
September 19, 2014 L-Shares Awarded Prize by the French Social Investment Forum
Client Memorandum
September 18, 2014 UK Takeover Panel Consultation on Post-Offer Undertakings and Statements of Intention
Client Memorandum
September 16, 2014 SEC Proposes to Exempt Certain Communications Involving Security-Based Swaps from Securities Act Registration
Client Memorandum
September 15, 2014 Regulators Re-Propose Uncleared Swap Margin, Capital and Segregation Rules for Swap Entities
Client Memorandum
September 12, 2014 Supplementary Leverage Ratio
Client Memorandum
September 10, 2014 Schumer Releases Draft Anti-Inversion Bill
Client Memorandum
September 4, 2014 European Regulatory Snapshot: Remuneration in the Financial Services Industry 2014
Client Memorandum
September 3, 2014 Momentive Ruling May Pave the Road for Below-Market “Takeback Paper” Cramdowns of Secured Creditors
Client Memorandum
September 2, 2014 Dodd-Frank Progress Report
Client Newsletter
August 28, 2014 Hong Kong High Court Procedure E-Discovery: Practice Direction Effective September 1, 2014‎
Client Memorandum
August 25, 2014 SFC Discards Plans for Legislative Amendments on IPO Sponsor Prospectus Liability
Client Memorandum
August 25, 2014 Investment Management Regulatory Update
Client Newsletter
August 21, 2014 FTC Fines Acquirer $896,000 for Failure to File Under HSR Act for Incremental Acquisitions of a Public Issuer by Conversion of Notes
Client Memorandum
August 14, 2014 Recent LSTA Publications Explained: MCAPs, Cashless Rolls and Fronting Letters
Client Memorandum
August 12, 2014 Share Capital Management and Transaction Guidelines
Client Memorandum
August 5, 2014 SEC Adopts Money Market Fund Reforms
Client Memorandum
August 1, 2014 UK Takeover Panel proposals to amend the Takeover Code
Client Memorandum
July 31, 2014 New York July 2014 “BitLicense” Proposal: Visual Memorandum
Client Memorandum
July 30, 2014 A Review of the First Wave of Conflict Mineral Filings
Client Memorandum
July 24, 2014 Investment Management Regulatory Update
Client Newsletter
July 18, 2014 Dodd-Frank Four-Year Anniversary Progress Report
Client Newsletter
July 3, 2014 SEC Adopts Security-Based Swap Cross-Border Definitional Rule
Client Memorandum
July 1, 2014 Dodd-Frank Progress Report
Client Newsletters
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 23, 2014 Investment Management Regulatory Update
Client Newsletter
June 19, 2014 MOFCOM Blocks “P3” Shipping Joint Venture
Client Memorandum
June 18, 2014 Volcker Rule: Observations on Interagency FAQs, OCC Interim Examination Guidelines
Client Memorandum
June 18, 2014 Whistleblower Update: SEC Resolves First Case Under New Authority to Bring Anti-Retaliation Claim
Client Memorandum
June 17, 2014 Patent Assertion Entities Win, For Now
Client Memorandum
June 9, 2014 Recent Developments in Whistleblower Protections: Legal Analysis and Practical Implications
Client Memorandum
June 5, 2014 American Bancorp.’s Involuntary Bankruptcy: A New Strategy for Distressed Investors in Trust Preferred Securities
Client Memorandum
June 5, 2014 PRC Antitrust Update: Special Edition on ABA Antitrust China Conference
Client Memorandum
June 4, 2014 Second Circuit Vacates Judge Rakoff’s Rejection of Consent Settlement in SEC v. Citigroup Global Markets
Client Memorandum
June 2, 2014 Dodd-Frank Progress Report
Client Newsletter
May 28, 2014 Investment Management Regulatory Update
Client Newsletter
May 27, 2014 Dodd-Frank Concentration Limit on Financial Institution M&A: Visual Memorandum
Client Memorandum
May 21, 2014 FCPA Jurisprudence: U.S. Court of Appeals (11th Circuit) Defines “Instrumentality” Under the FCPA, Adopts Government’s View
Client Memorandum
May 21, 2014 Proposed Legislation Would Significantly Limit Inversion Transactions
Client Newsflash

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