Twin peaks regulation: will it make a difference?
March 29, 2012
From April 2, 2012, banks, insurers and major investment firms will be regulated separately for prudential and conduct purposes. The FSA intends to accelerate its move...
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M&A in 2012: Use of Special Committees in M&A Transactions
March 28, 2012
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This program focused on practical considerations on the use of Special Committees in M&A transactions, including...
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Second Circuit Issues Preliminary Decision Regarding “No-Admission” SEC Settlements
March 15, 2012
The Securities and Exchange Commission won a preliminary ruling from the Second Circuit today that could resolve a judicial logjam over the approval of so-called "n...
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Yes, It Is That Time of Year Again—H-1B Cap FY2013
March 12, 2012
U.S. Citizenship and Immigration Services ("CIS")
CIS will start accepting H-1B petitions for fiscal year 2013 (October 1, 2012 - September 30, 2013) on...
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CFTC Chairman Gary Gensler Testifies Before House Committee That Most Swaps End-Users Will Not Be Swap Dealers and That Rural Electric Co-Ops, Munis, and RTOs May Be Exempted From Dodd-Frank
March 2, 2012
In testimony before the House Agriculture Committee on February 29, 2012, Commodity Futures Trading Commission ("CFTC") Chairman Gary Gensler assured...
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NYSE Further Restricts Broker Voting On Corporate Governance Proposals
January 26, 2012
The New York Stock Exchange (the "NYSE") recently announced further restrictions in the application of its Rule 452 to certain corporate governance proposals...
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FDIC v. Perry: Storm Warning for Corporate Executives
January 25, 2012
A federal court in Los Angeles has recently issued a decision that removes an important protection against liability for corporate officers of companies that operate in...
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M&A in 2012: Update on Fiduciary Outs in M&A Transactions
January 19, 2012
This web seminar examined recent developments in the use of fiduciary out provisions in public and private M&A transactions, including fiduciary out alternative...
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SEC Revises Net Worth Standard for Accredited Investors
December 22, 2011
In order to conform to the requirements of the Dodd-Frank Act, the Securities and Exchange Commission has amended its rules to exclude the value of a person's home...
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Keeping Up with Economic Sanctions: A Review of Developments in 2011
December 14, 2011
The following is a summary of key points made during Fulbright & Jaworski's breakfast seminar, held November 30, 2011, on the effects of the Arab Spring on U.S....
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M&A in 2011: Doing a Private M&A Deal in the UK
December 14, 2011
This seminar highlighted some of the different aspects in negotiating a private M&A deal in the UK, from what you may be used to in the U.S. context. Topics ...
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CFTC Publishes Final Rules on Position Limits: Limited Comment Period Closes on January 17, 2012
December 8, 2011
On November 18, 2011, the Commodity Futures Trading Commission's ("CFTC" or "Commission") long-awaited final rules establishing federal position...
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The California Transparency in Supply Chains Act (SB 657) Will Go Into Effect on January 1, 2012
December 7, 2011
The California Transparency in Supply Chains Act (the "Act") requires every retail seller and manufacturer doing business in California and having annual...
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Fulbright Forum: Fallout from Say on Pay – What You Can Do About It
December 06, 2011
Executive compensation continues to be one of the hottest of hot-button issues. During this web seminar, we discussed the many ramifications of "say-on-pay"...
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Prosecuting Individuals To Deter FCPA Violations
November 30, 2011
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Over the past few years, the U.S. Department of Justice has placed an increased emphasis on the prosecution of individuals, including senior corporate executives, who...
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