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Law & Practice
The USA has long welcomed private debt and equity capital to fund large infrastructure projects and remains one of the world's oldest and largest markets ...
United States
1 Feb 2019
CLOs & European Risk Retention: New Securitisation Regulation
More work required – examining new Article 5a imposing originator diligence obligations.
European Union
25 Nov 2015
Congress Passes Jobs Act - Implications For Pre-IPO Companies And Private Offerings
On March 27, 2012, Congress approved the Jumpstart Our Business Startups Act (the "JOBS Act").
United States
11 Apr 2012
Supreme Court Rejects Perpetual Tolling Of Section 16(B) Claims Against Corporate Insiders
In a decision issued earlier this week, Credit Suisse Securities (USA) LLC v. Simmonds, the Supreme Court held that the two-year time limit for bringing an action under Section 16(b) of the Securities and Exchange Act of 1934 is not tolled by the corporate insider’s failure to file a Section 16(a) disclosure statement.
United States
9 Apr 2012
Form 20-F Disclosure Update - European Sovereign Debt Exposure
The staff of the U.S. Securities and Exchange Commission (the "SEC") has recently issued guidance on disclosure obligations for reporting issuers, including foreign private issuers, with exposure to certain European debt.
United States
9 Mar 2012
SEC Codifies Net Worth Standard For Accredited Investors Adopted By Dodd-Frank Act
On December 21, 2011, the Securities and Exchange Commission (the "SEC") amended its rules to exclude the value of a person’s primary residence from net worth calculations used to determine whether an individual qualifies as an "accredited investor."
United States
9 Jan 2012
SEC Guidance On Cybersecurity Disclosure
On October 13, 2011, the staff of the Securities and Exchange Commission’s ("SEC") Division of Corporation Finance issued guidance to all registrants regarding disclosure obligations related to cybersecurity risks and cyber incidents.
United States
5 Jan 2012
SEC Limits Non-Public Submission Policy For Foreign Issuers
The Division of Corporation Finance of the Securities and Exchange Commission ("SEC") recently announced a significant change in its policy towards reviewing first-time registration statements of foreign issuers.
United States
20 Dec 2011
U.S. Court Of Appeals Strikes Down Proxy Access Rule
On July 22, 2011, in what could be characterized as a major blow to the Securities and Exchange Commission in its ongoing efforts to implement portions of the Dodd Frank Wall Street Reform and Consumer Protection Act of 2010, the U.S. Court of Appeals for the District of Columbia Circuit issued an order vacating Rule 14a-11 of the Securities Exchange Act of 1934, which provided eligible shareholders with access to company proxy materials for the purpose of nominating candidates for election as d
United States
4 Oct 2011
Fund Administration Ripe For Outsourcing
The confluence of continued growth in the fund market (in terms of assets under management, complexity and number of active funds), a dynamic regulatory environment and increased market competition has created an environment that is ripe for both business process outsourcing (BPO) and information technology outsourcing (ITO).
United States
19 Jan 2007
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