Mondaq USA: Corporate/Commercial Law
Shearman & Sterling LLP
The European Banking Authority published revised Guidelines on the data collection exercise regarding high earners and on the remuneration benchmarking exercise.
Shearman & Sterling LLP
On 9 April 2014, the European Commission published a proposal to amend the Shareholder Rights Directive.
Shearman & Sterling LLP
The European Court of Justice considered whether the requirement for a prospectus published in electronic form to be easily accessible was met.
Shearman & Sterling LLP
The Omnibus II Directive, which will amend the Prospectus Directive in respect of the powers of ESMA, was published in the Official Journal.
Shearman & Sterling LLP
The European Commission launched a public consultation to receive feedback on the implementation of its most recent policy on Corporate Social Responsibility.
Shearman & Sterling LLP
The regulatory technical standards on the categories of staff whose professional activities impact upon a firm’s risk profile came into force.
Herrick, Feinstein LLP
On July 15, 2014, Delaware amended various provisions of the Delaware General Corporation Law. The changes, which go into effect on August 1, 2014, address the following areas: ..
The McLane Law Firm
As of July 1, New Hampshire joined the very short list of states where trusts can be modified in four different ways.
Miller & Chevalier
The D.C. Circuit's opinion, written by Judge Kavanaugh, reviews the development of the attorney-client privilege in the corporate context.
McGuireWoods LLP
The annual ISS Benchmark Policy Survey has a significant portion devoted to executive compensation topics.
Andrews Kurth LLP
Rule 506(c) of the Securities Act of 1933 allowed the use of general solicitation and general advertising in connection with unregistered offers and sales of securities.
Foley & Lardner
Entrepreneurs and legal counsel must understand the applicable state-sponsored programs and position qualifying businesses to take advantage of these programs.
On July 16, 2014, a three-judge Second Circuit panel affirmed the dismissal of a securities class action against Deutsche Bank AG and several underwriters.
Troutman Sanders
The U.S. federal banking regulators issued updated joint supplemental guidance about tax allocation agreements between holding companies and their bank subsidiaries.
Fox Rothschild LLP
The Supreme Court again this summer was the focus of immense media and public scrutiny.
Seyfarth Shaw LLP
With the SEC's attention again returning to cybersecurity issues, many registrants are recalling the Commission's intense focus on "Year 2000".
Hunton & Williams
The SEC Divisions of Investment Management and Corporation Finance released guidance to investment advisers and proxy advisory firms in the form of 13 Q&As.
Hunton & Williams
Chair Mary Jo White of the Securities and Exchange Commission recently delivered a speech at the Twentieth Annual Stanford Directors' College.
Cadwalader, Wickersham & Taft LLP
Threats to corporate cybersecurity are an issue that companies, their boards and their managers cannot afford to ignore.
Morrison & Foerster LLP
If your company manufactures any product incorporating gold, coltan, cassiterite, or wolframite, you may need to ask how well you know your conflict minerals story.
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Hughes Hubbard & Reed LLP
The SEC has adopted amendments to Rule 506 under the Securities Act of 1933 that permit general solicitation and general advertising in securities offerings under this exemption from securities registration provided all purchasers are accredited investors.
American venture capital investment firms and entrepreneurs from abroad are disappointed by Congress's failure to enact the long-promised Startup Visa.
BuckleySandler LLP
To paraphrase a poem by the great Dr. Seuss, Oh, the places they've been. Oh, the places they'll go!
Pepper Hamilton LLP
This month there have already been two cases in the staffing industry that highlight the risks posed to that industry and their clients where the workers being referred are paid on a 1099 basis.
Jones Day
Although the business community had hoped the Court would overrule Basic v. Levinson, and the presumption of reliance it created, the Court did not go so far.
Shearman & Sterling LLP
Lawyers are increasingly filing securities fraud lawsuits against companies and their directors based on claims that the board should have recognized and acted on certain risks.
Carter Ledyard & Milburn
This advisory addresses certain key fiduciary duty concepts applicable to managers of limited liability companies with a particular focus on Delaware LLCs.
Katten Muchin Rosenman LLP
Effective January 1, 2014, the existing limited liability company (LLC) statute in California (the "Old Act") will be replaced by the California Revised Uniform Limited Liability Company Act (RULLCA).
Holland & Knight
Unprecedented barriers of entry — from the uncertainty of Dodd-Frank reforms to the economic downturn — have presented roadblocks to aspiring private equity fund managers in recent years.
Morrison & Foerster LLP
Much has changed since the collapse of Enron in 2001 and the ensuing avalanche of financial fraud cases brought by the SEC.
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