Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights September 23, 2014 Client Update U.S. Basel III Liquidity Coverage Ratio Final Rule The U.S. banking agencies have issued a final rule to implement the Basel III liquidity coverage ratio (LCR) in the United... September 23, 2014 Client Update SEC Investor Advisory Committee Tackles Availability of Preliminary Voting Tallies The SEC Dodd-Frank Investor Advisory Committee, established pursuant to Dodd-Frank, has provided notice that it will hold ... September 22, 2014 Client Update How Equity Plan Proposals Fared in the 2014 Proxy Season and ISS Equity Plan Data Verification Shareholders were asked to vote on almost 1,200 equity plan proposals in the first half of 2014, according to the ISS U.S.... September 17, 2014 Client Update Society of Corporate Secretaries and New York City Bar Submit Comment Letters on SEC Disclosure Effectiveness Initiative SEC Chair White has spoken about the SEC’s interest in reforming the current disclosure regime, which we discuss here. P... September 15, 2014 Client Update Corporate Representatives Argue Against Petition to Rehear Conflict Minerals Case Rehearing en banc of the conflict minerals case is not warranted because there is no conflict with other court decisions, ... September 11, 2014 Client Update Company Disputes Claims Related to Vote Counting for Equity Plan Approval As we previously discussed here, in May, a shareholder challenged the validity of an amendment to Cheniere Energy’s 2011... September 9, 2014 Client Update Chair White Addresses Status of SEC Rulemaking Under Dodd-Frank Act For those who wondered what happened to the rule proposal that the SEC issued in January 2011 requiring that investment ma... September 8, 2014 Client Update CII Wants Proxy Disclosure of Board Evaluation Process In the midst of the clamor for disclosure reform that questions whether the current regime requires too much information i... September 4, 2014 Client Update Different Outcomes on No-Action Letters for Shareholder Proposals Aligning Political Contributions and Corporate Values The SEC staff recently disagreed with Procter & Gamble’s no-action letter, which sought to exclude a shareholder proposa... September 4, 2014 Client Update European Regulatory Snapshot: Remuneration in the Financial Services Industry 2014 The move toward stricter regulation of remuneration in the financial services industry in the European Union has continued... Load More
September 23, 2014 Client Update U.S. Basel III Liquidity Coverage Ratio Final Rule The U.S. banking agencies have issued a final rule to implement the Basel III liquidity coverage ratio (LCR) in the United...
September 23, 2014 Client Update SEC Investor Advisory Committee Tackles Availability of Preliminary Voting Tallies The SEC Dodd-Frank Investor Advisory Committee, established pursuant to Dodd-Frank, has provided notice that it will hold ...
September 22, 2014 Client Update How Equity Plan Proposals Fared in the 2014 Proxy Season and ISS Equity Plan Data Verification Shareholders were asked to vote on almost 1,200 equity plan proposals in the first half of 2014, according to the ISS U.S....
September 17, 2014 Client Update Society of Corporate Secretaries and New York City Bar Submit Comment Letters on SEC Disclosure Effectiveness Initiative SEC Chair White has spoken about the SEC’s interest in reforming the current disclosure regime, which we discuss here. P...
September 15, 2014 Client Update Corporate Representatives Argue Against Petition to Rehear Conflict Minerals Case Rehearing en banc of the conflict minerals case is not warranted because there is no conflict with other court decisions, ...
September 11, 2014 Client Update Company Disputes Claims Related to Vote Counting for Equity Plan Approval As we previously discussed here, in May, a shareholder challenged the validity of an amendment to Cheniere Energy’s 2011...
September 9, 2014 Client Update Chair White Addresses Status of SEC Rulemaking Under Dodd-Frank Act For those who wondered what happened to the rule proposal that the SEC issued in January 2011 requiring that investment ma...
September 8, 2014 Client Update CII Wants Proxy Disclosure of Board Evaluation Process In the midst of the clamor for disclosure reform that questions whether the current regime requires too much information i...
September 4, 2014 Client Update Different Outcomes on No-Action Letters for Shareholder Proposals Aligning Political Contributions and Corporate Values The SEC staff recently disagreed with Procter & Gamble’s no-action letter, which sought to exclude a shareholder proposa...
September 4, 2014 Client Update European Regulatory Snapshot: Remuneration in the Financial Services Industry 2014 The move toward stricter regulation of remuneration in the financial services industry in the European Union has continued...