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By Kirkland & Ellis International LLP
Companies facing government investigations frequently choose to have their counsel make presentations to the government about the relevant facts and law
By Sarkis Jebejian, David Feirstein P.C., Shaun Mathew, Lisa Madigan, Erica Williams, Lauren O. Casazza, Kim B. Nemirow
Over the past two years, the #MeToo movement has driven major societal change and reform, exposing areas for improvement in workplace compliance across the country.
By Kirkland & Ellis International LLP
In the 13th edition of Benchmark Litigation United States, Kirkland & Ellis' national litigation practices for Antitrust, Appellate, Bankruptcy, General Commercial
By Kon M. Asimacopoulos, Kate Stephenson, Partha Kar, Elaine Nolan, Sean Lacey
Debenhams has successfully defended the challenge to its company voluntary arrangement ("CVA") in the first test case in the current wave of CVAs.
By Mario Mancuso, Shawn Cooley, Lucille Hague, J. Matthew O'Hare, William G. Phalen
On September 17, 2019, the U.S. Department of the Treasury ("Treasury"), as chair of the Committee on Foreign Investment in the United States ("CFIUS"), ...
By Brooksany Barrowes, Robert S. Fleishman, Nicholas Gladd, Andrew Stuyvenberg, Brett Nuttall
On September 19, 2019, the Federal Energy Regulatory Commission ("FERC" or "Commission") issued a long-anticipated proposal to reform implementation of the Public Utility Regulatory Policies Act
By Kirkland & Ellis International LLP
There are a few areas, which are not discussed in this note, but we anticipate will be at the forefront of regulators' priorities in the coming months
By Kirkland & Ellis International LLP
In 2016, hedge fund Och-Ziff Capital Management Group ("Och-Ziff") entered into one of the largest Foreign Corrupt Practices Act ("FCPA")
By Ryan Harris, Ryan P. Swan, Josh Westerholm, Jeffrey Kaplan, Brad West
Veteran family office operators and managers may have other quotations (or visions) from Mary Shelley's "Frankenstein" in mind
By Kirkland & Ellis International LLP
On September 4, the SEC's Office of Compliance Inspections and Examinations ("OCIE") issued a Risk Alert (the "Risk Alert")
By Todd F. Maynes, P.C., Sara B. Zablotney, P.C., Anthony Vincenzo Sexton, Gregory W. Gallagher, P.C., Thad W. Davis, P.C., David Wheat, P.C.
On September 9, 2019, the Treasury Department ("Treasury") and the Internal Revenue Service (the "IRS" or "Service")
By Todd F. Maynes, P.C., Sara B. Zablotney, P.C., Gregory W. Gallagher, P.C., Adam Kool
On September 9, 2019, the Treasury Department and Internal Revenue Service (the "IRS" or "Service") issued proposed regulations
By David Feirstein P.C., Joshua N. Korff, Ross M. Leff, Erica Williams, Daniel Wolf, P.C., Robert Hayward P.C., Sarkis Jebejian, Matthew Pacey P.C., Shaun Mathew, Matthew Solum
The SEC's Division of Corporation Finance announced that, starting with the 2019-2020 proxy season, it may issue oral rather than written guidance for some requests to exclude Rule 14a-8 shareholder
By Michael S. Casey, Cori A. Lable
The U.S. is investigating hundreds of millions of dollars in financial transactions involving three Chinese banks that allegedly helped finance North Korea's
By Tyler Burgess, Alexandra Farmer, Jonathan Kidwell, Paul Tanaka, P.C.
On July 8, 2019, the U.S. Environmental Protection Agency ("EPA") finalized new greenhouse gas emissions rules for existing power plants under the Clean Air Act
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