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Searching Content indexed under Corporate/Commercial Law by Cozen O'Connor ordered by Published Date Descending.
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1
The State AG Report Weekly Update September 12, 2019
50 AGs, led by Texas AG Ken Paxton, announced an investigation into Google over allegedly anticompetitive behavior in violation of state and federal antitrust laws.
United States
20 Sep 2019
2
The State AG Report Weekly Update August 15, 2019
Four AGs, led by Virginia AG Mark Herring, reached a settlement with Hearts 2 Heroes Inc., d/b/a Active Duty Support Services Inc. and its owners
United States
20 Aug 2019
3
The State AG Report Weekly Update August 1, 2019
California AG Xavier Becerra reached a settlement with pharmaceutical company Teva Pharmaceutical Industries Ltd. and its wholly-owned subsidiaries over allegations that its agreements with other pharmaceutical companies ...
United States
5 Aug 2019
4
The State AG Report Weekly Update July 11, 2019
Iowa AG Tom Miller issued a statement regarding the legality of hemp and cannabidiol products under state law after Congress passed the Agriculture Improvement Act of 2018 legalizing CBD derived from industrial hemp ...
United States
15 Jul 2019
5
The State AG Report Weekly Update June 27, 2019
John Westercamp, a Republican, announced his candidacy for Indiana AG in 2020. Westercamp is an attorney in private practice in Indianapolis.
United States
9 Jul 2019
6
Increasing Scrutiny On Franchise "No Poach" Clauses
Companies who enter into agreements between two or more employers not to hire the other's employees or to limit competitiveness in the hiring process may face potential criminal and civil liability.
United States
21 Sep 2018
7
Contracts Are Considered When Using Assisted Reproduction Technology
Two recent decisions highlight the importance of contracts between parties in cases involving assisted reproduction technology (ART).
United States
28 Dec 2015
8
Gabelli v. SEC: The Supreme Court Limits The Statute Of Limitations For SEC Actions
In a recent unanimous decision, the U.S. Supreme Court held that the Securities Exchange Commission (SEC) has five years from the date when an alleged fraud begins - not from the date when the SEC uncovers the fraud - to bring an action seeking penalties.
United States
31 Mar 2013
9
Benefit Corporations - A New Type Of Corporation - Are Now Authorized In Pennsylvania
On January 23, 2013, the Pennsylvania Benefit Corporation Act (the Act) became effective.
United States
23 Mar 2013
10
Proposed Amendments To Rule 506 As Mandated By The JOBS Act
The Securities and Exchange Commission (the SEC) proposed rules to eliminate the prohibition against general solicitation and general advertising in certain securities offerings.
United States
12 Mar 2013
11
Pennsylvania Supreme Court Rules Post-Trial Motions Are Not Necessarily Required Following Remand
The Pennsylvania Supreme Court issued its much anticipated opinion on Friday, September 28, 2012, in Newman Dev. Group of Pottstown, LLC v. Genuardi’s Family Markets, Inc., No. 101 MAP 2011, 2012 Pa. LEXIS 2262 (Pa. Sept. 28, 2012) (Newman II), involving the interpretation of Pennsylvania Rule of Civil Procedure 227.1, which requires post-trial motions to be filed within 10 days after certain events.
United States
8 Oct 2012
12
SEC Recommends Major Changes In Municipal Securities Market
The Securities and Exchange Commission on July 31, 2012 issued a comprehensive report with recommendations to improve the municipal securities market.
United States
4 Oct 2012
13
Pennsylvania Court Decertifies Class In Fiduciary Breach Case Against H & R Block
The Pennsylvania Supreme Court last week upheld the decertification of a class of H&R Block customers challenging the tax preparer’s "Rapid Refund" program as deceptive, holding that the existence of a confidential relationship between H&R Block and each class member—a prerequisite to the plaintiff’s claim for breach of fiduciary duty—cannot be determined on a classwide basis.
United States
12 Sep 2012
14
Recent Amendments To The Pennsylvania Insurance Holding Company Act Changes Affecting Corporate Governance And Intercompany Transactions And Agreements
Pennsylvania’s Insurance Holding Company Act (IHCA) was recently amended by Act 136, which was signed into law on July 5, 2012. Act 136 makes a number of changes to the IHCA, including imposing new corporate governance requirements and processes and expanding the Pennsylvania Insurance Department’s authority to examine affiliates of an insurer.
United States
29 Aug 2012
15
GAO Publishes Report On Factors That May Affect Trends In Regulation A Offerings
One of the primary objectives behind the Jumpstart Our Business Startups Act (the JOBS Act) was to increase small business capital formation.
United States
31 Jul 2012
16
Municipal Securities Disclosure: How Might Corporate Practice Influence Municipal Market Reform Proposals?
Municipal securities are varied and range from tax-supported bonds issued by general purpose governments to fund projects for essential services to bonds issued by industrial development authorities that loan the bond proceeds to private companies where repayment depends on the private company.
United States
27 Jul 2012
17
Looking For A Viable Dispute Resolution Forum For China Deals
Chinese law and Chinese courts are often excluded from the international commercial dispute resolution arena because of uncertainty occasioned by China’s underdeveloped legal system including a lack of precedential authority of Chinese courts judicial decisions, fear of local participants’ undue influence on judges and arbitrators, and broadly rumored corrupt courts
China
27 Jul 2012
18
Delaware Courts Pose Problems For Venture Capitalists With No Clear Solutions
Venture capital investors have many reasons to exit underperforming investments.
United States
27 Jul 2012
19
The Emerging LIBOR Scandal - 3 Point Bulletin
LIBOR, or the London Interbank Offered Rate, is the average interest rate at various maturities at which global banks borrow funds from other banks.
United States
18 Jul 2012
20
SEC Addresses Extraordinary Volatility In Stock Market
The Securities and Exchange Commission announced two new initiatives to address extraordinary volatility both in individual stocks and the stock market as a whole.
United States
17 Jul 2012
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