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Searching Content indexed under Corporate/Commercial Law by Cleary Gottlieb Steen & Hamilton LLP ordered by Published Date Descending.
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1
SEC's OCIE Affiliate Transaction Risk Alert Highlights Pitfalls In Obtaining Effective Consent
On September 4, 2019, the SEC's Office of Compliance Inspections and Examinations ("OCIE") issued a Risk Alert addressing the most common compliance issues it identified in examinations of ...
United States
14 Oct 2019
2
Cleary Gottlieb – M&A-Telegram Germany Q3/2019
Bayer brings this summer's M&A highlight with the sale of its veterinary medicine division to Elanco for approx. USD 7.6 billion.
Germany
11 Oct 2019
3
Best Practices For Negotiating The Scope Of An Investigative Request
Global Crisis Management Series: This post is part 13 in a series concerning topics further elaborated on in Cleary Gottlieb's Global Crisis Management Handbook
United States
11 Oct 2019
4
SEC Expands Ability To "Test the Waters" To All Issuers
Last week, the Securities and Exchange Commission adopted a rule under which any issuer can "test the waters"
United States
9 Oct 2019
5
California Consumer Privacy Act Amendments Offer Relief, But Challenges Remain
California's 2019 legislative session has drawn to a close with passage of five amendments to the California Consumer Privacy Act (CCPA) during the final days of the session.
United States
7 Oct 2019
6
UK Serious Fraud Office Publishes Corporate Co-Operation Guidance
The SFO recently released its much anticipated Corporate Co-Operation Guidance[1] (the "Guidance"). It provides details of the types of behaviour expected by the SFO in order for an organisation
UK
4 Oct 2019
7
Third Circuit Holds That SLUSA Preclusion Of State Law Claims In Opt-Out Action Requires Actual Coordination With Class Action
The Securities Litigation Uniform Standards Act ("SLUSA") generally precludes the assertion of claims under state law in securities class actions,...
United States
1 Oct 2019
8
Before You Press Send: Protecting Privilege And Complying With Limitations On Data Dissemination When Responding To An Investigative Request
One critical issue to consider in responding to an investigative request is whether by producing the requested data, the company will be waiving a privilege or violating legal confidentiality obligations.
United States
1 Oct 2019
9
Five Important Questions For Addressing An Investigative Request
Global Crisis Management Series: This post is part 11 in a series concerning topics further elaborated on in Cleary Gottlieb's Global Crisis Management Handbook
United States
30 Sep 2019
10
SEC Continues To Bring Actions Against ADR Lenders For Use Of Uncovered Pre-Released ADRs
In what appears to be an industry-wide sweep involving American Depositary Receipts ("ADRs"), over the last few years the SEC has brought enforcement actions against 13
United States
30 Sep 2019
11
Second Circuit Decision Finds Implied Private Right Of Action Under The Investment Company Act
In a recent decision, Oxford University Bank v. Lansuppe Feeder, LLC, the United States Court of Appeals for the Second Circuit held that parties that enter into contracts that violate the Investment
United States
24 Sep 2019
12
Public Relations Considerations When Managing A Crisis
Global Crisis Management Series: This post is part 10 in a series concerning topics further elaborated on in Cleary Gottlieb's Global Crisis Management Handbook
United States
16 Sep 2019
13
Guidance On Navigating The Atlassian Term Sheet: Understanding The Substantive Implications Behind The Virtues Of Standardization In M&A
Standardization can be a virtue and one that M&A lawyers, likely due to self-interest and ego, sometimes resist.
United States
16 Sep 2019
14
Agencies Adopt Final Rule Implementing Key Elements of Volcker 2.0
On August 20, 2019, two of the agencies responsible for implementing the Volcker Rule finalized amendments to the Rule that narrow and simplify the proprietary trading prohibition
United States
2 Sep 2019
15
In Its Highly Anticipated Guidance On Proxy Advisory Firms, The SEC Proceeds With Caution
On August 21, the Securities and Exchange Commission adopted (1) guidance on the proxy voting responsibilities of investment advisers under the Investment Advisers Act and related rules and (2)
United States
30 Aug 2019
16
Class & Collective Action Newsletter - July 29, 2019
Welcome to the July 29, 2019 edition of our Class & Collective Action Group Newsletter, a briefing on recent developments in the class and collective action space.
United States
26 Aug 2019
17
Class & Collective Action Newsletter - August 12, 2019
Welcome to the August 12, 2019 edition of our Class & Collective Action Group Newsletter, a briefing on recent developments in the class and collective action space.
United States
26 Aug 2019
18
The Purposes Of A Corporation And The Role Of The Board
Monday's Business Roundtable Statement on the Purpose of a Corporation is significant, mostly because it opens the door for more discussion of the idea of "corporate purpose".
United States
23 Aug 2019
19
Agencies Finalize Elements Of Volcker 2.0
On August 20, 2019, the Federal Deposit Insurance Corporation and the Office of the Comptroller of the Currency approved a Final Rule adopting key changes to the proprietary trading
United States
23 Aug 2019
20
The SEC's Latest Disclosure Simplification Proposal
Its August 8, 2019 proposal addresses simplification of three items in Regulation S-K that have not been revised for more than 30 years:
United States
20 Aug 2019
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