Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights September 23, 2014 Client Update Treasury Issues Long-Awaited Anti-Inversion Guidance The Treasury Department and the IRS yesterday released Notice 2014-52 (the “Notice”), which describes regulations that... August 21, 2014 Client Update FTC Fines Acquirer $896,000 for Failure to File Under HSR Act for Incremental Acquisitions of a Public Issuer by Conversion of Notes The Federal Trade Commission (“FTC”) yesterday fined Berkshire Hathaway Inc. $896,000 to settle allegations that it vi... June 19, 2014 Client Update MOFCOM Blocks “P3” Shipping Joint Venture For only the second time since it began reviewing mergers and joint ventures in 2008, when China’s Anti-Monopoly Law (?... June 18, 2014 Client Update Whistleblower Update: SEC Resolves First Case Under New Authority to Bring Anti-Retaliation Claim The Securities and Exchange Commission (“SEC”) announced a settlement on Monday, June 16, 2014 that marked its first c... June 5, 2014 Client Update American Bancorp.’s Involuntary Bankruptcy: A New Strategy for Distressed Investors in Trust Preferred Securities The involuntary chapter 11 bankruptcy filing of American Bancorporation (“American”), commenced by a group of distress... May 27, 2014 Client Update Dodd-Frank Concentration Limit on Financial Institution M&A: Visual Memorandum The Federal Reserve has issued a proposal to implement the financial sector concentration limit in Section 622 of the Dodd... May 6, 2014 Client Update The Second Circuit Issues Decision of First Impression With Respect to Morrison and Extraterritoriality Earlier today, the United States Court of Appeals for the Second Circuit issued the following decision in the City of Pon... May 5, 2014 Client Update Delaware Court Declines to Enjoin Sotheby’s Annual Meeting On May 2, 2014, the Delaware Court of Chancery denied a preliminary injunction motion by activist stockholder Third Point ... April 2, 2014 Client Update U.S. Intermediate Holding Company: Structuring and Regulatory Considerations for Foreign Banks Establishing a top-tier U.S. intermediate holding company (IHC) that complies with Dodd-Frank enhanced prudential standard... March 12, 2014 Client Update Delaware Court of Chancery Finds Financial Advisor Liable for Aiding and Abetting Fiduciary Duty Breaches On March 7, 2014, Vice Chancellor Travis Laster of the Delaware Court of Chancery found a financial advisor liable for aid... Load More
September 23, 2014 Client Update Treasury Issues Long-Awaited Anti-Inversion Guidance The Treasury Department and the IRS yesterday released Notice 2014-52 (the “Notice”), which describes regulations that...
August 21, 2014 Client Update FTC Fines Acquirer $896,000 for Failure to File Under HSR Act for Incremental Acquisitions of a Public Issuer by Conversion of Notes The Federal Trade Commission (“FTC”) yesterday fined Berkshire Hathaway Inc. $896,000 to settle allegations that it vi...
June 19, 2014 Client Update MOFCOM Blocks “P3” Shipping Joint Venture For only the second time since it began reviewing mergers and joint ventures in 2008, when China’s Anti-Monopoly Law (?...
June 18, 2014 Client Update Whistleblower Update: SEC Resolves First Case Under New Authority to Bring Anti-Retaliation Claim The Securities and Exchange Commission (“SEC”) announced a settlement on Monday, June 16, 2014 that marked its first c...
June 5, 2014 Client Update American Bancorp.’s Involuntary Bankruptcy: A New Strategy for Distressed Investors in Trust Preferred Securities The involuntary chapter 11 bankruptcy filing of American Bancorporation (“American”), commenced by a group of distress...
May 27, 2014 Client Update Dodd-Frank Concentration Limit on Financial Institution M&A: Visual Memorandum The Federal Reserve has issued a proposal to implement the financial sector concentration limit in Section 622 of the Dodd...
May 6, 2014 Client Update The Second Circuit Issues Decision of First Impression With Respect to Morrison and Extraterritoriality Earlier today, the United States Court of Appeals for the Second Circuit issued the following decision in the City of Pon...
May 5, 2014 Client Update Delaware Court Declines to Enjoin Sotheby’s Annual Meeting On May 2, 2014, the Delaware Court of Chancery denied a preliminary injunction motion by activist stockholder Third Point ...
April 2, 2014 Client Update U.S. Intermediate Holding Company: Structuring and Regulatory Considerations for Foreign Banks Establishing a top-tier U.S. intermediate holding company (IHC) that complies with Dodd-Frank enhanced prudential standard...
March 12, 2014 Client Update Delaware Court of Chancery Finds Financial Advisor Liable for Aiding and Abetting Fiduciary Duty Breaches On March 7, 2014, Vice Chancellor Travis Laster of the Delaware Court of Chancery found a financial advisor liable for aid...