Mondaq USA: Corporate/Commercial Law
Kolcuoğlu Demirkan Koçaklı Attorneys at Law
The Communiqué on Mergers and Spin-offs, which entered into force on 28 December 2013, regulates the principles applicable to mergers and spin-offs of public companies.
Mintz, Levin, Cohn, Ferris, Glovsky and Popeo, P.C.
As the Supreme Court begins its 2014-15 term this month, it will be considering a number of securities cases, including the Omnicare case, which is scheduled for oral argument on November 3rd, and three other cases in which petitions for certiorari are currently pending before the Court.
Shearman & Sterling LLP
Our two compliance manuals summarize the primary reporting obligations and other duties imposed by US securities laws.
Fox Rothschild LLP
His message states that he "needs a better explanation of the scope of the problem so I am certain that the solution crafted will fix those problems and not create new ones."
Andrews Kurth LLP
The Securities and Exchange Commission announced its largest-ever whistleblower award, which is expected to be between $30 to $35 million.
Fox Rothschild LLP
Members of a Delaware LLC should be aware of this opinion and not operate under the assumption that an LLC operating agreement is invalid simply because it is unsigned.
Fox Rothschild LLP
Vice Chancellor Parsons addressed the issue of from which source a director or officer may seek advancement of legal fees when multiple sources are implicated.
Herrick, Feinstein LLP
The Delaware Chancery Court upheld a non-Delaware forum selection provision in the bylaws of a Delaware corporation.
Foley & Lardner
There has been a proposal that a funding source to pay for the increase of SEC examinations over registered investment advisers be provided by imposing user fees.
Fox Rothschild LLP
The Court analyzed whether categories of documents requested by Caspian, the minority shareholder of Key Plastics, were "narrowly tailored" to a proper purpose.
Mintz, Levin, Cohn, Ferris, Glovsky and Popeo, P.C.
Last week, the SEC announced its largest-ever whistleblower award – more than $30 million.
Morrison & Foerster LLP
The House of Representatives voted 320 to 102 to pass H.R. 5405 that contains a number of JOBS Act related measures that previously were the subject of individual bill proposals.
Morrison & Foerster LLP
We continue to wait for the SEC to issue final crowdfunding regulations— the comment period ended in January.
Morrison & Foerster LLP
The SEC announced settlements with officers, directors, and shareholders for violating federal securities laws requiring information about their transactions in company stock.
Morrison & Foerster LLP
Effective as of September 15, 2014, a new reporting requirement applies to a broad range of direct, and indirect, investments in the U.S. by foreign persons.
Morrison & Foerster LLP
Public companies are increasingly enacting "exclusive forum" bylaws as a way to limit the risk and burden of multi-jurisdictional stockholder litigation.
Morrison & Foerster LLP
September 23rd is the one year anniversary of the effective date of the changes relaxing the prohibition against general solicitation in certain offerings made under Rule 506.
Morrison & Foerster LLP
The SEC announced that the next meeting of the Investor Advisory Committee will be held on October 9, 2014.
Fox Rothschild LLP
These amendments to Section 3901 and the revised rules reduce the need for court-appointed guardians of a minor’s property.
Fox Rothschild LLP
The United States District Court for the Southern District of Illinois recently ruled that the Illinois Franchise Disclosure Act (IFDA) did not apply to a contract between a company, Accounting Practices Sales, Inc. (APS), and a broker where the broker was only required to pay APS a percentage of each commission received.
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Ropes & Gray LLP
The SEC announced the settlement of charges under the FCPA against Smith & Wesson for violations involving payments to Pakistani, Turkish and Indonesian officials.
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.
Mayer Brown
Audit Committees have seen their responsibilities increase dramatically in 2014.
A recent antitrust enforcement decision by the DOJ has introduced a new and unprecedented risk into efforts by private equity firms to manage their portfolio companies.
Foley Hoag LLP
On July 31, President Obama issued an Executive Order requiring federal contractors to disclose past labor violations.
McGuireWoods LLP
A letter of intent is frequently used by buyers and sellers to memorialize their agreement on the material terms of a transaction.
FinCEN issued proposed regulations that would formalize certain financial institutions’ Customer Due Diligence requirements.
Jones Day
Forum-selection and choice-of-law clauses control every aspect of the parties' respective obligations and liabilities undertaken on a project.
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.
McDermott Will & Emery
Bridge loan financing for mergers and acquisitions involves high stakes for borrowers and lenders.
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