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By Helene R. Banks, Bradley J. Bondi, Charles Gilman, Elai Katz, Geoffrey E. Liebmann, Ross Sturman, Paul Rafla
The Court also held that doing so did not violate the Trust Indenture Act of 1939.
By Helene R. Banks, Bradley J. Bondi, Brockton B. Bosson, Charles Gilman, Elai Katz, Geoffrey E. Liebmann, Ross Sturman, Peter T. Mazzone, Luke Ryan
On April 30, 2019, the Criminal Division of the United States Department of Justice released updated guidance, entitled "The Evaluation of Corporate Compliance Programs," ...
By Helene R. Banks, Bradley J. Bondi, Charles Gilman, Elai Katz, Geoffrey E. Liebmann, Ross Sturman, Yilin Zhu
On May 9, 2019, the SEC proposed amendments to the accelerated filer and large accelerated filer definitions in Rule 12b-2 under the Securities Exchange Act of 1934 .
By Helene R. Banks, Bradley J. Bondi, Charles Gilman, Elai Katz, Geoffrey E. Liebmann, Ross Sturman, Sara E. Johnson, Benjamin Lash
On May 3, 2019, the SEC issued a release proposing amendments to the requirements in Rule 3-05, Rule 3-14 and Article 11 of Regulation S-X and related rules and forms for financial statements relating to ...
By Kimberly Petillo-Décossard
Deal volumes are expected to be at or near record levels in 2019.
By Bradley J. Bondi
Five Things Every Board Should Be Doing Now.
By Joel H. Levitin, Richard A. Stieglitz Jr., Stephen J. Gordon
While intercreditor agreements (ICAs) are not necessarily the most attention-grabbing of the various loan documents common to large financing transactions, they are nevertheless important,
By Elai Katz
Two federal appellate courts considered whether plaintiffs had garnered sufficient circumstantial evidence – including discussions among competitors – to present antitrust conspiracy claims to a jury.
By David R. Owen
How Banks and Regulators are Already Re-shaping GDPR Requirements – Seven Lessons for You.
By Helene R. Banks, Bradley J. Bondi, Charles Gilman, Elai Katz, Geoffrey E. Liebmann, Ross Sturman, Yilin Zhu
The Act seeks to close perceived gaps in Rule 10b5-1 and curb abuses of Rule 10b5-1 trading plans by corporate insiders.
By Helene R. Banks, Bradley J. Bondi, Charles Gilman, Elai Katz, Geoffrey E. Liebmann, Ross Sturman, Donna M. Bryan
The Commission initially proposed the amendments on February 9, 2015 to implement a provision of the Dodd-Frank Wall Street Reform and Consumer Protection Act.
By Helene R. Banks, Bradley J. Bondi, Charles Gilman, Elai Katz, Geoffrey E. Liebmann, Ross Sturman, Adam S. Mintz
The Court held that plaintiffs could not do so because American Pipe tolling applies only to a subsequently-filed individual claim, not a class action claim.
By Helene R. Banks, Bradley J. Bondi, Charles Gilman, Geoffrey E. Liebmann, Ross Sturman, Philip Merenda, Donna M. Bryan
It is important that reporting companies understand these C&DIs and take steps to ensure compliance.
By Helene R. Banks, Bradley J. Bondi, Charles Gilman, Elai Katz, Geoffrey E. Liebmann, Ross Sturman, Scott B. Singer, Anna Wittman
In two recent cases, the Delaware Supreme Court and Delaware Court of Chancery upheld demands for electronic communications in Section 220 books and records actions.
By Helene R. Banks, Bradley J. Bondi, Charles Gilman, Elai Katz, Geoffrey E. Liebmann, Ross Sturman, C. Wallace DeWitt, Matthew M. McDonagh
On February 14, 2019, Judge Gonzalo P. Curiel of the United States District Court for the Southern District of California determined that ICO tokens constituted securities, modifying his prior ruling and granting the motion ...