It’s Annual Report Time—Helpful Tips for the Preparation of 2015 Form 20-F – January 27, 2016
Regulations > Regulatory Framework
EU-US Agreement on Regulation of Central Counterparties - February 16, 2016
Financial Regulatory Developments Focus – February 18, 2016
Anti-money Laundering Impact in the Regulated Sector - November 2015
Environmental Due Diligence and Risk Allocation in M&A Transactions - December 08, 2015
New Corporate Offence Modelled on The Bribery Act - December 17, 2015
HSR Act Filing Threshold Revisions - January 2016
Heads Up for the 2016 Proxy Season: Companies See Victory on Excluding "Substantially Implemented" Proxy Access - February 16, 2016
UK Takeover Code – Offer-Related Arrangements and Equality of Information to Competing Offerors - October 29, 2015
UK Takeover Code - Dividends, Acting in Concert and Restrictions and Suspensions of Voting Rights - October 29, 2015
U.S. Bank Regulators’ Uncleared Swap Margin, Capital and Segregation Rules - November 12, 2015
European Regulatory Snapshot: FCA Consultation on Implementation of the Market Abuse Regulation - November 19, 2015
White Collar Update: DOJ Incorporates Yates Memo into U.S. Attorneys’ Manual - December 1, 2015
Thinking About Indemnity Protections after the "Yates Memo" - December 3, 2015
Is B/D Desk Commentary Dead? – January 22, 2016
U.S. Uncleared Swap Margin, Capital and Segregation Rules – January 22, 2016
Partner Randall Guynn Presents on Resiliency and Resolvability of U.S. G-SIBs at PLI’s “Banking Law Institute 2015” - February 12, 2016
FCA Consultation Paper on the implementation of the Market Abuse Regulation in the UK - January 14, 2016
Agencies Finalize Margin Rules for Non-Cleared Swaps and Security-Based Swaps - January 28, 2016
Consumer & Retail Products - January 21, 2016