Region Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights January 23, 2014 Client Update Preparing Your 2013 Form 20-F This memorandum highlights some considerations for the preparation of your 2013 annual report on Form 20-F. As in previou... January 21, 2014 Client Update Revised Basel III Leverage Ratio: Visual Memorandum The Basel Committee recently finalized its revisions to the Basel III leverage ratio. Compared to its June 2013 proposal, ... January 1, 2014 Articles & Books IFLR Bankers’ Counsel Poll: European Capital Markets The recently published December/January 2014 edition of International Financial Law Review (IFLR) magazine included the re... December 22, 2013 Client Update CFTC Announces Cross-Border Substituted Compliance Determinations, Provides Limited Phase-In for Some Swap Requirements On Friday, just ahead of the expiration of the CFTC’s exemptive order delaying the applicability of some CFTC swap regul... November 1, 2013 Articles & Books The International Capital Markets Review: United Kingdom The way in which the UK financial services industry is regulated underwent a significant restructuring in 2013 with the ad... October 1, 2013 Articles & Books Chapter on French Insolvency Law French insolvency law provides for six restructuring and (pre-)insolvency proceedings, which can be classified into two su... July 30, 2013 Client Update France Ring-Fences Proprietary Trading Activities On July 27, 2013 , new legislation was promulgated in France aimed at the ring-fencing and regulation of certain banking a... July 23, 2013 Client Update France Implements Bail-In On July 18, 2013, new bank legislation was adopted in France aimed at the ring-fencing and regulation of certain banking a... June 12, 2013 Client Update Prospectus Liability Regimes in Europe – June 2013 On June 10, 2013, the European Securities and Markets Authority (“ESMA”), following a request from the European Commis... June 4, 2013 Client Update The Impact of the Alternative Investment Fund Managers Directive on Non-E.U. Managers of Non-E.U. Funds The Alternative Investment Fund Managers Directive (the Directive) entered into force on July 21, 2011 with E.U. Member St... Load More
January 23, 2014 Client Update Preparing Your 2013 Form 20-F This memorandum highlights some considerations for the preparation of your 2013 annual report on Form 20-F. As in previou...
January 21, 2014 Client Update Revised Basel III Leverage Ratio: Visual Memorandum The Basel Committee recently finalized its revisions to the Basel III leverage ratio. Compared to its June 2013 proposal, ...
January 1, 2014 Articles & Books IFLR Bankers’ Counsel Poll: European Capital Markets The recently published December/January 2014 edition of International Financial Law Review (IFLR) magazine included the re...
December 22, 2013 Client Update CFTC Announces Cross-Border Substituted Compliance Determinations, Provides Limited Phase-In for Some Swap Requirements On Friday, just ahead of the expiration of the CFTC’s exemptive order delaying the applicability of some CFTC swap regul...
November 1, 2013 Articles & Books The International Capital Markets Review: United Kingdom The way in which the UK financial services industry is regulated underwent a significant restructuring in 2013 with the ad...
October 1, 2013 Articles & Books Chapter on French Insolvency Law French insolvency law provides for six restructuring and (pre-)insolvency proceedings, which can be classified into two su...
July 30, 2013 Client Update France Ring-Fences Proprietary Trading Activities On July 27, 2013 , new legislation was promulgated in France aimed at the ring-fencing and regulation of certain banking a...
July 23, 2013 Client Update France Implements Bail-In On July 18, 2013, new bank legislation was adopted in France aimed at the ring-fencing and regulation of certain banking a...
June 12, 2013 Client Update Prospectus Liability Regimes in Europe – June 2013 On June 10, 2013, the European Securities and Markets Authority (“ESMA”), following a request from the European Commis...
June 4, 2013 Client Update The Impact of the Alternative Investment Fund Managers Directive on Non-E.U. Managers of Non-E.U. Funds The Alternative Investment Fund Managers Directive (the Directive) entered into force on July 21, 2011 with E.U. Member St...