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February 28, 2017 Webcast: Corporate Reporting and Governance in 2017
January 25, 2017 Webcast: OCC’s New Special-Purpose Charter – Business Opportunities and Challenges for FinTech and Beyond
January 11, 2017 Webcast: 2016 Anti-Corruption Trends and Other Corporate Enforcement Issues
November 15, 2016 2016 Proxy Season and Beyond
October 21, 2016 Final and Temporary Section 385 Regulations
August 3, 2016 2016 Mid-Year Review − Anti-Corruption Trends and Other Corporate Enforcement Issues
Webcast
July 20, 2016 The Year of Trade Secrets
Implications of the EU Trade Secrets Directive and The US Defend Trade Secrets Act
May 25, 2016 Incentive Compensation for Financial Institutions: The Reproposal and Its Impact on Regional Banks
May 17, 2016 Arthur Burke to Present on Antitrust Laws
April 21, 2016 Shareholder Activism & Engagement Trends and Strategies
April 15, 2016 Discussion of Recent Anti-Inversion and Intercompany Debt Rules
April 7, 2016 Foreign Banks and Their U.S. IHCs: Federal Reserve’s Single-Counterparty Credit Limits Reproposal
April 6, 2016 Foreign Banks without U.S. IHCs: Federal Reserve’s Single-Counterparty Credit Limits Reproposal
April 5, 2016 U.S. Banks: Federal Reserve’s Single-Counterparty Credit Limits Reproposal
April 5, 2016 Federal Reserve’s Single-Counterparty Credit Limits Reproposal
March 8, 2016 CEO Succession Considerations
Webcast
February 12, 2016 Partner Randall Guynn Presents on Resiliency and Resolvability of U.S. G-SIBs at PLI’s “Banking Law Institute 2015”
Seminar
January 26, 2016 Davis Polk to Present on Cybersecurity
January 14, 2016 Rules Regarding the Use of Derivatives
The Latest SEC Proposed Derivatives Rules and How They Can Impact Your Business
January 6, 2016 2015 Year-End Review: Anti-corruption Trends and Other Corporate Enforcement Issues
December 3, 2015 Implementation of the Market Abuse Regulation
Webcast
November 5, 2015 From the IT Department to the GC’s Office: The Role of Lawyers Before, During and After a Cyber Event
Webcast
October 22, 2015 Hot Topics and Practical Strategies: Public and Private Cartel Enforcement in Europe and the U.S.
July 15, 2015 2015 Mid-Year Review: Anti-Corruption Trends and Other Corporate Enforcement Issues
January 14, 2015 FCPA: 2014 Year-End Review of Trends and Global Enforcement Actions
November 19, 2014 U.S. Antitrust Enforcement and International Cooperation
Webcast
November 6, 2014 Webcast – Momentive Ruling Highlights Risks to Senior Creditors Under Intercreditor Agreements
Webcast
September 22, 2014 The Recent Momentive Ruling: Possible Implications for Secured Creditor Cramdown
Webcast
August 7, 2014 Webcast – Corporate Inversions: Where we are and where we may be going
Webcast
June 10, 2014 FCPA: 2014 Mid-Year Review of Trends and Global Enforcement Actions
Webcast
March 18, 2014 Significant Issues for Fraudulent Transfer Actions
Webcast: The Knowledge Group
January 23, 2014 Impact of the Final Volcker Regulations on Mid-Size U.S. Banks
Webcast
January 21, 2014 Impact of the Final Volcker Regulations on Regional U.S. Banks
Webcast
November 12, 2013 Hot Topics in Antitrust Enforcement: The Questions You Want Answered
October 29, 2013 U.S. Regulatory Considerations for Non-U.S. Clearinghouses
Webcast
October 16, 2013 Dodd-Frank Stress Tests for Mid-sized Banking Organizations: Guide for Senior Bank Officers and Directors
Webcast
July 23, 2013 Davis Polk Hosts Webcast Series on U.S. Basel III Final Rule
Webcast Series
July 23, 2013 U.S. Basel III Final Rule: Impact on Community Banks
July 23, 2013 U.S. Basel III Final Rule: Impact on Regional Banks
Webcast
July 23, 2013 U.S. Basel III Final Rule: Impact on Foreign Banking Organizations with Significant U.S. Operations
Webcast
October 9, 2012 Morgan Stanley’s FCPA Declination and the Benefit of Effective Compliance
Webcast
September 13, 2012 U.S. Economic Sanctions and BSA/AML Compliance for Banking Institutions: Recent Developments in Enforcement and Investigations
Webcast
June 13, 2012 The JOBS Act: Implications for Pre-IPO Companies
Davis Polk / NYSE Euronext / National Venture Capital Association
November 30, 2011 What if Your Counterparty Fails? A Creditor's Guide to the FDIC's Orderly Liquidation Authority
Davis Polk and Alvarez & Marsal Presentation
July 29, 2011 Emerging Litigation Trends Post Dodd-Frank
Dodd-Frank: One Year Later
July 28, 2011 Impact on End Users of Swaps
Dodd-Frank: One Year Later
July 27, 2011 Impact on Private Equity/Hedge Funds
Dodd-Frank: One Year Later
July 26, 2011 Impact on Swap Dealers
Dodd-Frank: One Year Later
July 25, 2011 Impact on Bank Holding Companies
Dodd-Frank: One Year Later
July 22, 2011 One-Year Progress Report
Dodd-Frank: One Year Later

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