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Searching Content indexed under Strategy by Morgan Lewis ordered by Published Date Descending.
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1
DOL Announces Relief For Parties Impacted By California Wildfires
Several US Department of Labor agencies have issued guidance to assist those individuals, unions, and employers affected by the most recent California wildfires.
United States
3 Dec 2018
2
Hurricane Harvey Client Alert: For Energy Companies
Hurricane Harvey leaves a legacy of unprecedented legal and business challenges.
United States
22 Sep 2017
3
Court Permits Combination Of Predictive Coding And Keyword Search
Focusing on precision rather than recall, district court finds that process complies with discovery obligations.
United States
25 May 2013
4
Technology Litigation Trends
Litigation for the technology industry has long been mistakenly thought of as synonymous with intellectual property litigation.
United States
20 May 2013
5
Spotlight On . . . Data Privacy
Both the federal and state governments have promulgated new laws designed to ensure that companies are taking serious steps to protect the privacy of personal data.
United States
20 May 2013
6
Spotlight On . . . Data Security And Digital "Scams"
Due to the unfortunate story of University of Notre Dame football star Manti Teíoís "fake" girlfriend in late 2012, much of America is now familiar with the phrase "catfishing".
United States
20 May 2013
7
Computer-Assisted Review Costs Awarded In California Patent Case
Court finds that using technology to undertake more efficient document review is reasonable.
United States
16 Mar 2013
8
Senatorís Cybersecurity Letter Gets Attention From Fortune 500
CEOs of the top 500 U.S. companies receive call to action on cybersecurity protection issues from Senator Rockefeller.
United States
2 Oct 2012
9
Search And Collection Of Data Efforts Critiqued In FOIA Case
Absent showing of sound methodology, Judge Scheindlin finds identification, self-collection, and keywords to be insufficient
United States
7 Aug 2012
10
Trend Report - Focus On Financial Services
This is the first of a series of trend reports tailored for our clients and friends to help companies stay a step ahead of legal issues that may affect their businesses.
United States
17 Jun 2012
11
Trade Agreement Facilitates Opening Of U.S. Bank Branches In Colombia
New free trade agreement provides capital and regulatory controls that help protect Colombian consumers.
United States
13 Jun 2012
12
Proposed Restrictions On Fund Offers To Swiss Residents
The Swiss private offering rules may soon require foreign funds to appoint Swiss distributors in order to sell fund interests to Swiss investors.
Switzerland
12 Jun 2012
13
Form PF Will Result In Substantial Reporting Requirements For Registered Advisers To Private Funds
On October 26 and October 31, the U.S. Securities and Exchange Commission (SEC) and Commodity Futures Trading Commission (CFTC), respectively, approved rules that will require certain investment advisers to report extensive information to the SEC on Form PF about the private funds they advise.
United States
 
15 Nov 2011
14
Implications Of MF Global Inc. SIPC Proceeding For Counterparties And Market Participants
On October 31, the Securities Investor Protection Corporation (SIPC) filed for a protective order under the Securities Investor Protection Act (SIPA) for MF Global Inc., a company registered jointly as an Securities and Exchange Commission (SEC) registered broker and Commodity Futures Trading Commission (CFTC) registered futures commission merchant (FCM). James W. Giddens, the SIPC trustee for Lehman Brothers Inc. (LBI), was named SIPC trustee for MF Global Inc. and on November 1, 2011, Judge Ja
United States
9 Nov 2011
15
Federal Agencies Propose Implementation Of Volcker Rule
On October 11 and 12, several federal agencies jointly released proposed rules that would implement the so-called "Volcker Rule."
United States
3 Nov 2011
16
SEC Adopts Large Trader Reporting System
On July 26, two decades after it first proposed adoption of a large trader reporting system, the Securities and Exchange Commission (SEC) voted to adopt Rule 13h-1 (the Rule) under the Securities Exchange Act of 1934 (Exchange Act).
United States
24 Aug 2011
17
Solicitors as Municipal Advisors Subject to Registration and New Fiduciary Standards
While SEC-registered investment advisers may not be covered by the new municipal advisor requirements, solicitors may be caught up and subjected to new fiduciary duties when soliciting municipal entity clients.
United States
4 Oct 2010
18
NFA Revises Petition to Restrict Exclusions from Commodity Pool Operator Definition
On June 29, National Futures Association (NFA) submitted to the Commodity Futures Trading Commission (CFTC) a petition for rulemaking (the Petition) that would revise the exclusions from the definition of a commodity pool operator (CPO) under CFTC Rule 4.5.
United States
27 Aug 2010
19
Private Fund Investment Advisers Registration Act Enacted Into Law
"Hedge fund and private equity fund managers will now be required to register with the SEC or state regulators, while venture capital fund advisers obtain an exemption from registration."
United States
4 Aug 2010
20
Landmark Legislation Gives SEC New Enforcement Capability
The newly approved financial reform bill contains new measures expanding the SECís enforcement authority and strengthening its oversight and regulatory authority over the nationís securities markets.
United States
22 Jul 2010
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