Mondaq USA: Corporate/Commercial Law
Andrews Kurth LLP
Many ISS clients follow, while others consider, ISS’s voting recommendations when voting their shares on proposals at shareholder meetings.
Proskauer Rose LLP
2014 was a banner year for federal recoveries under the False Claims Act ("FCA").
Morrison & Foerster LLP
The SEC has announced that the day prior to its Government Business Forum on Small Business Capital Formation
McGuireWoods LLP
European private equity firm Ambienta SGR beat its second fund target, raising €323.5 million ($404 million), ahead of schedule.
Burns & Levinson LLP
In Be Clear if You Want to Have a "Third-Party Beneficiary" in Your Contract, I discussed that if in-house counsel wanted to ensure that a person or entity achieved the status of a third-party beneficiary, it was critical to have language in the agreement that plainly said this.
Morrison & Foerster LLP
This year’s SEC small business capital forum in Washington, D.C. will address the "most sweeping changes to the emerging growth capital market in 80 years."
Herrick, Feinstein LLP
On October 20, 2014, the Securities Industry and Financial Markets Association ("SIFMA") published Principles for Effective Cybersecurity Regulatory Guidance (the "Guidance") to emphasize cybersecurity as a top priority for the financial industry and provide regulators and agencies with the industry's perspective of how best to protect operations and clients from cyber threats.
Herrick, Feinstein LLP
On October 20, 2014, the Securities Industry and Financial Markets Association ("SIFMA") published Principles for Effective Cybersecurity Regulatory Guidance (the "Guidance") to emphasize cybersecurity as a top priority for the financial industry and provide regulators and agencies with the industry's perspective of how best to protect operations and clients from cyber threats.
Morrison & Foerster LLP
Various SEC Commissioners, including Commissioner Stein and Commissioner Gallagher, have addressed issues related to capital formation in their public remarks.
Fox Rothschild LLP
Important news for restaurant and food service franchise systems: ..
McGuireWoods LLP
In July 2013, the SEC proposed significant changes affecting private offerings under Rule 506 of Regulation D, the most frequently used exemption from the registration requirements.
Shearman & Sterling LLP
On November 6, 2014, Glass Lewis & Co. ("Glass Lewis") released its 2015 Proxy Paper Guidelines for the United States showing the key draft policy changes for the 2015 proxy season.
Proskauer Rose LLP
The public scrutiny on private equity fund sponsors has continued to intensify this month, evidenced by at least three recent events.
Shearman & Sterling LLP
On November 6, 2014, Institutional Shareholder Services Inc. released the 2015 updates to its benchmark proxy voting policies.
Orrick
On November 5, the Federal Reserve Board issued a final rule implementing Section 622 of the Dodd-Frank Act, which generally prohibits a financial company from combining with another company if the ratio of the resulting company’s liabilities exceeds 10% of the aggregate consolidated liabilities of all financial companies.
Morrison & Foerster LLP
In his October 29 speech, rather than addressing potential substantive regulation of these areas, Champ focused on risk disclosure.
Morrison & Foerster LLP
A New Breed of Activist is Attracted to Tech and Life Sciences Companies
Venable LLP
Two major developments affecting nonprofits this year have been the Office of Management and Budget's (OMB) adoption of large-scale changes to the uniform rules governing Federal grants, known as the "Super Circular," and President Obama's use of Executive Orders to impose new requirements on Federal contractors, including nonprofits.
TMF Group
An expert commercial registered agent could remove the burden of needing to know every detail of compliance yourself – but how do you know who to trust?
Fox Rothschild LLP
The Wall Street Journal recently reported that, according to the International Franchise Association, ..
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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.
Venable LLP
In their search for the next big donor, many well-intentioned nonprofit fundraisers believe that "the wider the net, the greater the catch."
McGuireWoods LLP
A letter of intent is frequently used by buyers and sellers to memorialize their agreement on the material terms of a transaction.
Reed Smith
A contract that I recently analyzed and a blog post that I recently read gave me inspiration to do a post about notwithstanding.
Orrick
The IRS and Treasury Department announced a number of new regulations intended to make it more difficult to qualify for tax advantages associated with inversion transactions.
Jones Day
Forum-selection and choice-of-law clauses control every aspect of the parties' respective obligations and liabilities undertaken on a project.
McDermott Will & Emery
More than 80 percent of all deals in the pharmaceutical industry include an earnout structure that provides some type of contingent or delayed payment of proceeds to the sellers.
McDermott Will & Emery
Bridge loan financing for mergers and acquisitions involves high stakes for borrowers and lenders.
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.
Stradley Ronon Stevens & Young LLP
Frequently in the cybersecurity field, we try to look ahead to anticipate the next threat, that zero-day attack.
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