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Searching Content indexed under Corporate/Commercial Law by Kramer Levin Naftalis & Frankel LLP ordered by Published Date Descending.
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1
The First PNF/AFA Common Guidelines
A welcome clarification regarding the expected behavior of companies and administrations under French criminal settlement procedures.
UK
23 Aug 2019
2
Simplifying Section 16
On March 20, 2019, the Securities and Exchange Commission issued a release[1] (the Release) adopting amendments to Regulation S-K in an effort to modernize and simplify disclosure requirements
United States
21 Aug 2019
3
Les premières lignes directrices communes PNF/AFA
Une clarification bienvenue quant au comportement attendu des entreprises dans le cadre de la procédure de transaction pénale à la française
France
16 Aug 2019
4
SEC Proposes To Modernize Disclosures Of Business, Legal Proceedings And Risk Factors Under Regulation S-K
As reported in a press release issued by the Securities and Exchange Comission (the SEC) on Aug. 8, 2019, the SEC voted to propose amendments to modernize Regulation S-K disclosures.
United States
13 Aug 2019
5
Delaware Court Of Chancery Upholds A Seller's Use Of Contractual Provisions To Maintain Attorney-Client Privilege Over Premerger Communications
In a recent decision, the Delaware Court of Chancery ruled that the seller in a merger could enforce a provision in the merger agreement protecting its privilege over premerger emails with its counsel.
United States
6 Aug 2019
6
Floor Area Transfer By Zoning Lot Merger
The ability to transfer floor area by zoning lot merger derives from two basic principles under the Zoning Resolution.
United States
29 Jul 2019
7
Delaware Supreme Court Allows Caremark Breach Of Loyalty Claim To Go Forward
On June 18, in Marchand v. Barnhill, the Delaware Supreme Court reversed a ruling by the Delaware Court of Chancery in a shareholder derivative suit alleging a breach of the duty of loyalty.
United States
29 Jul 2019
8
Succursales non européennes d'entreprises européennes - Instructions ESMA pour les autorités compétentes
Instructions ESMA pour les autorités compétentes" which was published by the French publication Revue de droit bancaire et financier on June 18, 2019.
France
24 Jul 2019
9
SEC Issues Statement On LIBOR Transition
On July 12, the staffs of the Division of Corporation Finance, Division of Investment Management, Division of Trading and Markets, and Office of the Chief Accountant of the Securities and Exchange Commission issued a statement.
United States
22 Jul 2019
10
KL Snapshot #26 - May-June 2019
KL Snapshot is a bi-monthly newsletter encompassing the latest articles and seminars of the Paris-based lawyers.
France
22 Jul 2019
11
Programmes De Conformité : Un Atout Pour Les Entreprises
Paris partner Noëlle Lenoir authored an article titled "Programmes de conformité : un atout pour les entreprises" which was published by the French publication Echanges internationaux on July 1, 2019.
France
15 Jul 2019
12
OCIE Warns That Investment Advisers And Broker-Dealers Are Putting Investor Information At Risk
The SEC's Office of Compliance Inspections and Examinations (OCIE) issued a risk alert warning that investment advisers and broker-dealers
United States
12 Jul 2019
13
SEC Concept Release Could Yield New Retail Product Opportunities For Private Fund Managers
On June 18, 2019, the SEC issued a concept release requesting comments on, among other things, whether to liberalize the definition of "Accredited Investor"
United States
11 Jul 2019
14
SEC Adopts ‘Loan Rule' Amendments
On June 18, 2019, the SEC adopted final amendments (the "Amendments") to the auditor independence rules set forth in Rule 2-01(c)(1)(ii)(A) of Regulation S-X (the "Loan Rule")
United States
4 Jul 2019
15
SEC Adopts Regulation Best Interest And Related Rules And Interpretations
On June 5, 2019, the SEC adopted a package of rules and interpretations (the Adopted Rules) to clarify and further articulate the relationship between retail investors and their broker-dealers or investment advisers.
United States
21 Jun 2019
16
SEC Proposes Revised Rules For Cross-Border Security-Based Swaps Transactions
The proposals are intended to improve the regulatory framework by addressing implementation issues and efficiency concerns of security-based swaps administered by the SEC
United States
18 Jun 2019
17
Final Treasury Regulations Facilitate Foreign Subsidiary Credit Support
On May 23, the Department of the Treasury and the IRS published final regulations (the final regulations) under Section 956 of the Internal Revenue Code of 1986, as amended (the Code).
United States
18 Jun 2019
18
Banking, Finance And Insurance Letter - Mars-Avril 2019
Le 13 mars 2019, l'ESMA a mis à jour son Interactive Single Rulebook en y intégrant les mesures de niveau 2 et 3 de MiFID II (incluant RTS, actes délégués, opinion et Q&A).
United States
11 Jun 2019
19
Banking, Finance And Insurance Letter - March-April 2019
On March 13, 2019, ESMA updated its Interactive Single Rulebook to incorporate MiFID II Level 2 and 3 measures (including RTS, delegated acts, opinion and Q&A).
United States
11 Jun 2019
20
How The SEC's Proposed Amendments To Financial Disclosures For Acquisitions Will Affect High-Yield Bond Offerings
On May 3, the Securities and Exchange Commission (the SEC) proposed amendments to its rules governing financial disclosures relating to acquisitions and dispositions of businesses.
United States
30 May 2019
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