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February 8, 2018 New Tax Act Has Meaningful Implications for Broad-Based Employee Benefit Plans
Client Memorandum
January 31, 2018 Administering Compensation Programs in the Wake of TCJA – New Section 162(m)
Client Memorandum
January 8, 2018 New Tax Act Provides Tax Deferral Opportunity for Private Company Equity Compensation Awards
Client Memorandum
November 8, 2017 Tax Reform Proposal - Uncertainty for Year-End Compensation Planning: What You Can Do to Prepare
Client Memorandum
November 1, 2017 New York City Commission on Human Rights Salary History Law
Client Memorandum
September 25, 2017 Pay Ratio Disclosure Rule: The SEC’s Latest Guidance Should Ease Compliance Costs for Companies
Client Memorandum
September 6, 2017 Recent Developments for Sections 409A and 457: Proposed Regulations and Chief Counsel Memorandum
Client Memorandum
August 14, 2017 The Federal Reserve Breathes Fresh Air into Its Corporate Governance Guidance
Client Memorandum
July 31, 2017 Corporate Governance Trends and Developments: 2017
May 8, 2017 Financial CHOICE Act 2.0 Passes House Financial Services Committee
Client Memorandum
December 22, 2016 SEC Announces Two Enforcement Actions Regarding Restrictive Language in Severance Agreements
Client Memorandum
December 12, 2016 Predictions on Possible Changes to and Timing of the Dodd-Frank Executive Compensation Provisions
Client Memorandum
November 17, 2016 The Trump Transition and Possible Directions for Financial Regulatory Reform
Client Memorandum
November 15, 2016 Webcast: 2016 Proxy Season and Beyond
November 10, 2016 ISS Updates Pay-for-Performance Evaluation Methodology for 2017
Client Memorandum
August 4, 2016 Corporate Governance Trends and Developments: 2016
June 13, 2016 Partners as Employees? IRS Says Not So Fast
Client Memorandum
June 3, 2016 The DOL Fiduciary Regulation and Its Impact on the Financial Services Industry
Client Memorandum
June 1, 2016 Incentive Compensation Rules Proposed for Investment Advisers
Client Memorandum
May 25, 2016 Webcast: Incentive Compensation for Financial Institutions: The Reproposal and Its Impact on Regional Banks
May 2, 2016 Incentive Compensation for Financial Institutions: Reproposal
Client Memorandum
April 25, 2016 Sun Capital Decision Holds Private Equity Funds Liable for Pension Liabilities of Portfolio Company Under Deemed Partnership Theory
Client Memorandum
April 18, 2016 Department of Labor’s Final Rule Defining Fiduciary Investment Advice and Conflicts of Interest
Client Memorandum
March 8, 2016 Webcast: CEO Succession Considerations
February 23, 2016 SEC Decides Not to Pursue Clawback Actions Against Executives Who Reimbursed Company for Previously Paid Compensation
Client Memorandum
February 17, 2016 Down-Round Financings of Private Companies: Considerations for Outstanding Equity Compensation Awards
Client Memorandum
September 8, 2015 European Regulatory Snapshot: Remuneration in the Financial Services Industry 2015
Client Memorandum
August 10, 2015 SEC Adopts Final Pay Ratio Disclosure Rule
Client Memorandum
July 27, 2015 Getting the Deal Through
Corporate Governance 2015
Reproduced with permission from Law Business Research Ltd.
July 8, 2015 SEC Proposes Dodd-Frank Clawback Rule
Client Memorandum
July 1, 2015 Recent Compensation-Related Tax Developments
Client Memorandum
May 12, 2015 Delaware Court of Chancery Subjects Non-Employee Director Compensation to the “Entire Fairness” Standard
Client Memorandum
May 11, 2015 Department of Labor – Fiduciary Advice Definition and Conflict of Interest Rule
Client Memorandum
May 1, 2015 SEC Proposes “Pay Versus Performance” Rule
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
March 9, 2015 SEC Proposes Long-Awaited Hedging Disclosure Rule: What Does It Mean and What Should You Do Now?
Corporate Law & Accountability Report, 13 CARE 10, 03/06/15, Bloomberg BNA
Corporate Law & Accountability Report, 13 CARE 10, 03/06/15, Bloomberg BNA
February 11, 2015 SEC Proposes Hedging Disclosure Rule
Client Memorandum
December 1, 2014 European Regulatory Snapshot: CRD IV Bonus Cap Likely Set to Stay
Client Memorandum
November 7, 2014 ISS and Glass Lewis Release Changes to Their Voting Guidelines for the 2015 Proxy Season
Client Memorandum
September 4, 2014 European Regulatory Snapshot: Remuneration in the Financial Services Industry 2014
Client Memorandum
July 2, 2014 Corporate Governance 2014: Global Overview
Getting the Deal Through − Corporate Governance 2014
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 18, 2014 Whistleblower Update: SEC Resolves First Case Under New Authority to Bring Anti-Retaliation Claim
Client Memorandum
June 9, 2014 Recent Developments in Whistleblower Protections: Legal Analysis and Practical Implications
Client Memorandum
April 21, 2014 2014 Proxy Season: Early Indications
Client Memorandum
September 20, 2013 Proposed Pay Ratio Disclosure Rule Released by the SEC
Client Memorandum
August 8, 2013 European Regulatory Snapshot: Remuneration in the Financial Services Industry
Client Memorandum
August 6, 2013 First Circuit Sun Capital Decision Increases ERISA Exposure for Private Equity Funds
Client Memorandum
July 1, 2013 Corporate Governance 2013: Global Overview
Getting the Deal Through – Corporate Governance 2013

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