Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights February 16, 2017 Client Update Federal Coal Mining Stream Protection Rule Nullified On February 16, 2017, President Trump approved a joint resolution of Congress nullifying the U.S. Department of the Interi... February 16, 2017 Client Update Recent UK and US Merger Control Developments The UK’s Competition and Markets Authority (CMA) has announced proposed changes to its de minimis guidance, under which ... February 7, 2017 Client Update Antitrust Agencies Reach Settlements in Three HSR Act Cases In waning days of the Obama Administration, the U.S. Antitrust Agencies reached three settlements totaling $1.4 million fo... January 20, 2017 Client Update Revised 2017 Jurisdictional Thresholds Under the HSR Act Yesterday, the Federal Trade Commission (FTC) announced revised Hart-Scott-Rodino Act (HSR) reporting thresholds under whi... January 4, 2017 Client Update Davis Polk Submits Comment Letter to SEC on Proposal for Universal Proxy Cards In October 2016, the SEC proposed rules that would, if adopted, substantially impact proxy contests at U.S. public compani... December 9, 2016 Client Update Beyond FinTech: The OCC's Special Purpose National Bank Charter The OCC’s proposed framework for granting special purpose national bank charters could hold significant promise by provi... December 8, 2016 Client Update Preparing Your 2016 Form 20-F This memorandum highlights some considerations for the preparation of your 2016 annual report on Form 20-F. As in previous... December 2, 2016 Client Update Setting the Stage for Comprehensive Tax Reform Tax reform will be one of the top priorities for the 115th Congress. Hopes for pursuing tax reform to a successful conclu... November 21, 2016 Client Update SEC Issues Guidance on 5-Day Debt Tender Offers and Financial Advisor Disclosure in Equity Tender Offers On November 18, the SEC’s Division of Corporation Finance published new guidance relating to its 2015 no-action letter o... November 11, 2016 Articles & Books FINRA's Approval Requirement: Considerations for Non-US Acquirers of US Broker-Dealers It is widely known that in order to complete deals involving US companies, non-US firms must successfully navigate a labyr... Load More
February 16, 2017 Client Update Federal Coal Mining Stream Protection Rule Nullified On February 16, 2017, President Trump approved a joint resolution of Congress nullifying the U.S. Department of the Interi...
February 16, 2017 Client Update Recent UK and US Merger Control Developments The UK’s Competition and Markets Authority (CMA) has announced proposed changes to its de minimis guidance, under which ...
February 7, 2017 Client Update Antitrust Agencies Reach Settlements in Three HSR Act Cases In waning days of the Obama Administration, the U.S. Antitrust Agencies reached three settlements totaling $1.4 million fo...
January 20, 2017 Client Update Revised 2017 Jurisdictional Thresholds Under the HSR Act Yesterday, the Federal Trade Commission (FTC) announced revised Hart-Scott-Rodino Act (HSR) reporting thresholds under whi...
January 4, 2017 Client Update Davis Polk Submits Comment Letter to SEC on Proposal for Universal Proxy Cards In October 2016, the SEC proposed rules that would, if adopted, substantially impact proxy contests at U.S. public compani...
December 9, 2016 Client Update Beyond FinTech: The OCC's Special Purpose National Bank Charter The OCC’s proposed framework for granting special purpose national bank charters could hold significant promise by provi...
December 8, 2016 Client Update Preparing Your 2016 Form 20-F This memorandum highlights some considerations for the preparation of your 2016 annual report on Form 20-F. As in previous...
December 2, 2016 Client Update Setting the Stage for Comprehensive Tax Reform Tax reform will be one of the top priorities for the 115th Congress. Hopes for pursuing tax reform to a successful conclu...
November 21, 2016 Client Update SEC Issues Guidance on 5-Day Debt Tender Offers and Financial Advisor Disclosure in Equity Tender Offers On November 18, the SEC’s Division of Corporation Finance published new guidance relating to its 2015 no-action letter o...
November 11, 2016 Articles & Books FINRA's Approval Requirement: Considerations for Non-US Acquirers of US Broker-Dealers It is widely known that in order to complete deals involving US companies, non-US firms must successfully navigate a labyr...