Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights June 15, 2016 Client Update The New EU Market Abuse Regulation: Key Issues for U.S. Issuers This client memorandum looks at some of the key aspects of the new EU Market Abuse Regulation, which will apply to U.S. is... June 2, 2016 Client Update Governance Practices for IPO Companies: A Davis Polk Survey - June 2016 With ongoing pressure on companies that are past the IPO stage to update or modify their corporate governance practices to... May 25, 2016 Client Update Federal Reserve's Proposed Rule on QFCs with U.S. G-SIBs and the U.S. Operations of Foreign G-SIBs The Federal Reserve recently issued a proposed rule that would prohibit the U.S. G-SIBs and certain foreign G-SIBs from en... May 19, 2016 Client Update SEC Releases Guidance on Non-GAAP Financial Measures On May 17, the staff of the SEC’s Division of Corporation Finance released new and revised Compliance and Disclosure Int... May 11, 2016 Client Update Pre-IPO Companies Can Stay Private Longer: SEC Wraps Up JOBS Act Rulemaking On May 3, the SEC approved rule amendments that will make it easier for many private companies to remain private, and easi... May 10, 2016 Client Update New Guidance on Best Practice for Disapplying Pre-Emption Rights for UK Premium Listed Companies On May 5, 2016, the Financial Reporting Council’s Pre-Emption Group published its first monitoring report on the applica... April 22, 2016 Client Update Regulation S-K Concept Release Charts Ambitious Course for Corporate Disclosure Reform Last week, the SEC issued a concept release, a forerunner to potential rulemaking, seeking public comment on modernizing t... April 11, 2016 Client Update Treasury Issues New Anti-Inversion Guidance On April 4, 2016, the Internal Revenue Service (the “IRS”) and the Treasury Department (“Treasury”) issued (i) fin... April 11, 2016 Client Update Treasury Proposes Overhaul of Intercompany Debt Rules The Internal Revenue Service (the “IRS”) and the Treasury Department (“Treasury”) on April 4, 2016 released propos... March 18, 2016 Client Update New Hong Kong Professional Investors Reform – Are You Ready? After two years of preparation, the Hong Kong professional investors regime under the SFC Code of Conduct (“Code”) wil... Load More
June 15, 2016 Client Update The New EU Market Abuse Regulation: Key Issues for U.S. Issuers This client memorandum looks at some of the key aspects of the new EU Market Abuse Regulation, which will apply to U.S. is...
June 2, 2016 Client Update Governance Practices for IPO Companies: A Davis Polk Survey - June 2016 With ongoing pressure on companies that are past the IPO stage to update or modify their corporate governance practices to...
May 25, 2016 Client Update Federal Reserve's Proposed Rule on QFCs with U.S. G-SIBs and the U.S. Operations of Foreign G-SIBs The Federal Reserve recently issued a proposed rule that would prohibit the U.S. G-SIBs and certain foreign G-SIBs from en...
May 19, 2016 Client Update SEC Releases Guidance on Non-GAAP Financial Measures On May 17, the staff of the SEC’s Division of Corporation Finance released new and revised Compliance and Disclosure Int...
May 11, 2016 Client Update Pre-IPO Companies Can Stay Private Longer: SEC Wraps Up JOBS Act Rulemaking On May 3, the SEC approved rule amendments that will make it easier for many private companies to remain private, and easi...
May 10, 2016 Client Update New Guidance on Best Practice for Disapplying Pre-Emption Rights for UK Premium Listed Companies On May 5, 2016, the Financial Reporting Council’s Pre-Emption Group published its first monitoring report on the applica...
April 22, 2016 Client Update Regulation S-K Concept Release Charts Ambitious Course for Corporate Disclosure Reform Last week, the SEC issued a concept release, a forerunner to potential rulemaking, seeking public comment on modernizing t...
April 11, 2016 Client Update Treasury Issues New Anti-Inversion Guidance On April 4, 2016, the Internal Revenue Service (the “IRS”) and the Treasury Department (“Treasury”) issued (i) fin...
April 11, 2016 Client Update Treasury Proposes Overhaul of Intercompany Debt Rules The Internal Revenue Service (the “IRS”) and the Treasury Department (“Treasury”) on April 4, 2016 released propos...
March 18, 2016 Client Update New Hong Kong Professional Investors Reform – Are You Ready? After two years of preparation, the Hong Kong professional investors regime under the SFC Code of Conduct (“Code”) wil...