September 25, 2018 Getting the Deal Through: Merger Control 2019

Law Business Research Ltd.

September 24, 2018 Directors and Officers Insurance Policies—Are You Covered?

Bloomberg Law, September 20, 2018

September 24, 2018 Intellectual Property and Tech Transactions Update
Client Newsletter
September 21, 2018 EPA and BLM Easing Methane Rules for the Oil and Natural Gas Industry
Client Memorandum
September 20, 2018 UN Sustainable Development Goals – The Leading ESG Framework for Large Companies?
Client Memorandum
September 18, 2018 Blockchain & Cryptocurrency Regulation: France

Global Legal Insights – Blockchain & Cryptocurrency Regulation 2019

September 18, 2018 Cryptocurrency and Other Digital Assets for Asset Managers

Global Legal Insights – Blockchain & Cryptocurrency Regulation 2019

September 17, 2018 Davis Polk Financial Services Regulatory Reform Tool — Fall Focus Edition
Client Memorandum
September 17, 2018 Webcast: Restrictive Covenants: Recent Developments, Best Practices and Strategies for Preserving Human Capital
1.0 CLE Credit(s): CA – General; NY – Professional Practice / Practice Management
September 14, 2018 Hearings on Competition and Consumer Protection in the 21st Century: Opening Session
Client Newsflash
September 12, 2018 Changes to the Prospectus Format and Content - ESMA's Final Technical Advice and Proposed Guidelines
Client Memorandum
September 7, 2018 What Would a U.S. Supreme Court Confirmation of Judge Kavanaugh Mean for Environmental Regulation?
Client Memorandum
September 5, 2018 ESG Treatise Part 2 – United Nations Global Compact – Whether to Join or Not?
Client Memorandum
September 4, 2018 The Guide to Merger Remedies: Overview

Global Competition Review, August 2018

August 31, 2018 Second Circuit Holds the FCPA Does Not Extend to Non-U.S. Persons Absent U.S. Nexus
Client Memorandum
August 30, 2018 Investment Management Regulatory Update - August 2018
Client Newsletter
August 30, 2018 Private Equity Regulatory Update - August 2018
Client Newsletter
August 28, 2018 France’s Reform Agenda: First Year Overview
Client Memorandum
August 27, 2018 IRS Issues Guidance Clarifying Tax Reform Changes to Section 162(m)
Client Memorandum
August 24, 2018 EPA’s New Greenhouse Gas Emissions Rule for U.S. Power Sector – Legal Considerations and Business Impacts
Client Memorandum
August 21, 2018 SEC Adopts New Transparency Requirements for NMS Stock Alternative Trading Systems
Client Memorandum
August 20, 2018 SEC Updates Its Disclosure Rulebook
Client Memorandum
August 14, 2018 Federal Banking Regulators Can and Should Resolve Madden and True Lender Developments
White Paper
August 13, 2018 New CFIUS Legislation Enacted
Client Memorandum
August 10, 2018 Dare to Share? Waiver Issues in Cross-Border Joint Defense Communications

Global Private Litigation Bulletin (ABA), March 2018

August 8, 2018 Getting the Deal Through – Financial Services Compliance
July 31, 2018 Investment Management Regulatory Update - July 2018
Client Newsletter
July 31, 2018 Private Equity Regulatory Update - July 2018
Client Newsletter
July 26, 2018 SEC Proposes Reduction in Financial Reporting Requirements for Guaranteed and Secured Notes
Client Memorandum
July 25, 2018 Webcast: U.S. Sanctions and AML Regulation and Enforcement
2018 Enforcement Trends: Mid-Year Review
July 23, 2018 SEC Revisits Equity Compensation Offerings by Amending Rule 701 and Seeking Comment on Further Changes to Rule 701 and Form S-8
Client Memorandum
July 19, 2018 Adviser Exams: Mitigating Enforcement Risks

The International Comparative Legal Guide to: Alternative Investment Funds 2018

July 19, 2018 Webcast: Anti-Corruption Enforcement and Trends
2018 Enforcement Trends: Mid-Year Review
July 18, 2018 Ninth Circuit Holds That Section 10(b) Reaches Domestic Purchases of Unsponsored ADRs and That the Supreme Court’s Morrison Decision Does Not Preclude Claims Against Issuers Arising Out of Such Purchases
Client Memorandum
July 18, 2018 Boards and #MeToo
Client Memorandum
July 17, 2018 Recent Developments Relating to Corporate Governance
Client Memorandum
July 11, 2018 Governance Practices for IPO Companies: A Davis Polk Survey
Client Memorandum
July 10, 2018 What Chinese Banks and Companies Should Know About DOJ Overseas Subpoenas and Asset Seizures
Client Memorandum
July 9, 2018 ESG in Private Equity Part 1: UN PRI & Related ESG Reports and Ratings
Client Memorandum
July 6, 2018 SEC’s Proposed Amendments to Its Whistleblower Program May Increase Reporting of Potential Securities-Law Violations to the SEC
Client Memorandum
July 6, 2018 U.S. Supreme Court Says Interpretation of PRC Law Not to Receive Deference in Vitamin C Antitrust Case
Client Memorandum
July 5, 2018 CFTC Proposes Maintaining Swap Dealer De Minimis Registration Threshold at $8 Billion with Expanded Exceptions
Client Memorandum
July 5, 2018 In Amended Decision, U.S. Court of Appeals (Second Circuit) Leaves Open the Ability to Prosecute Insider Trading Absent Evidence of a “Meaningfully Close Personal Relationship”
Client Memorandum
July 5, 2018 SEC Issues Sanctions for Inadequate Perk Disclosure
Client Memorandum
July 5, 2018 Davis Polk Financial Services Regulatory Reform Tool — Summer Beach Read Edition
Client Memorandum
July 3, 2018 SEC lowers threshold to qualify as a Smaller Reporting Company
Client Memorandum
July 3, 2018 Supreme Court Issues Landmark Decision on Two-Sided Markets
Client Memorandum
July 3, 2018 Sovereign Bond Offerings and Liability Management Exercises – U.S. Perspectives
Client Memorandum
July 2, 2018 New York’s Highest Court Holds That Three-Year Statute of Limitations Applies to Martin Act Claims
Client Memorandum
June 29, 2018 SEC Proposes New ETF Rule
Client Memorandum

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