Mondaq USA: Corporate/Commercial Law
Shearman & Sterling LLP
On December 18, 2014, ESMA issued three consultation papers on implementing measures for a new settlement regime under the Regulation on improving securities settlement and central securities depositories.
Fox Rothschild LLP
This series discusses the documentation rules that a charity should follow to ensure an individual donor can take his or her charitable deduction for the donation.
Patterson Belknap Webb & Tyler LLP
On January 21, 2015, the Supreme Court decided a narrow but important issue of appellate jurisdiction in cases that have been consolidated for pretrial proceedings by the Judicial Panel on Multidistrict Litigation.
Fox Rothschild LLP
Before we move too far into 2015, it is important to mention briefly an additional case from the end of 2014 that, once again, calls into question the franchisor-franchisee model.
Duane Morris LLP
A fascinating tale of two relatively new concepts coming head-to-head—Foreign Portfolio Investors (FPIs) and Minimum Alternate Tax (MAT)—is unfolding in India currently.
Proskauer Rose LLP
Yesterday, U.S. District Judge Andrew L. Carter, Jr. rejected the argument by the U.S. Attorney’s Office for the Southern District of New York to limit the Second Circuit’s decision in United States v. Newman to classical insider-trading cases.
The Brattle Group, Inc.
Bid-ask spreads and aggregate profits from market making have declined but aggregate profits from high-frequency trading, through which market making is now conducted, have increased.
Mintz, Levin, Cohn, Ferris, Glovsky and Popeo, P.C.
An increasingly popular hedge fund strategy, commonly referred to as "appraisal arbitrage," recently received a significant boost from the Delaware Court of Chancery.
Stites & Harbison PLLC
One question that comes up during transition to a new headquarters is "what do I do with my corporate entity that is still registered in my old state?" Do you leave it in your prior state, move it to Delaware or move it to Tennessee with you?
Fox Rothschild LLP
After a decade-long wait, Ukrainian franchise regulations will become effective on April 21, 2015.
Proskauer Rose LLP
The U.S. Court of Appeals for the Third Circuit added its voice yesterday to the ongoing judicial effort to construe the U.S. Supreme Court's 2010 decision in Morrison v. National Australia Bank...
Ostrow Reisin Berk & Abrams
In one part of the country, a not-for-profit health maintenance organization creates a for-profit subsidiary to offer health insurance unavailable through HMOs.
Mintz, Levin, Cohn, Ferris, Glovsky and Popeo, P.C.
IPO recovery? Last year was the most active year for IPOs in the United States since 2000.
Fox Rothschild LLP
In the wake of various scandals and stories of wrongdoing in the nonprofit sector, the federal government has placed an increased emphasis on nonprofit regulatory compliance.
Fox Rothschild LLP
The North American Securities Administrators Association (NASAA) recently unveiled a new online Electronic Filing Depository that will allow an issuer of securities to submit a Form D for a Regulation D, Rule 506 offering to state securities regulators and pay related fees.
Proskauer Rose LLP
The Justice Department continues to send the strong signal that it is looking to charge senior executives of companies.
Fox Rothschild LLP
It is that time of year again. The SEC Office of Compliance and Inspection (OCIE) has announced its examination priorities for 2015.
Morrison & Foerster LLP
In recent years, questions have been raised in many quarters about how brokers with questionable backgrounds have been able to move among firms and remain in the industry.
The need to detect and investigate reported allegations of wrongdoing within a corporation has long been a fact of corporate life.
Shearman & Sterling LLP
The EPSC is applicable to all shareholder meetings on and after February 1, 2015.
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Schnader Harrison Segal & Lewis LLP
A recent decision by the Supreme Court, New York County, reaffirmed the law as it applies to important issues relating to a surety’s defenses to a claim for delay damages made under a payment bond.
Venable LLP
The Financial Crimes Enforcement Network (FinCEN) fired a warning shot across the bow of every financial institution compliance officer.
Fox Rothschild LLP
In the wake of various scandals and stories of wrongdoing in the nonprofit sector, the federal government has placed an increased emphasis on nonprofit regulatory compliance.
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.
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.
McGuireWoods LLP
A letter of intent is frequently used by buyers and sellers to memorialize their agreement on the material terms of a transaction.
Fox Rothschild LLP
Doggy daycare resorts, bed bug chasers, hypnosis centers- what hasn’t been franchised?
Morrison & Foerster LLP
For busy in-house counsel and compliance professionals, we have tried to summarize the most important international anti-corruption developments in the past month with links to primary resources.
Jones Day
Forum-selection and choice-of-law clauses control every aspect of the parties' respective obligations and liabilities undertaken on a project.
In addition to the civil suit mentioned above, Jimmy John’s is now facing scrutiny from members of Congress and New York’s Attorney General.
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