We use cookies to customise content for your subscription and for analytics.
If you continue to browse Lexology, we will assume that you are happy to receive all our cookies. For further information please read our Cookie Policy.
Lexology logo
  Request new password

Search results

Order by most recent / most popular / relevance

Results: 1-10 of 14

House Financial Services Subcommittee passes five bills to ease the regulatory burden on small businesses

  • Holland & Knight LLP
  • -
  • USA
  • -
  • November 7 2011

On October 5, 2011, the House Financial Services Capital Markets and Government Sponsored Enterprises Subcommittee passed five bills to ease the regulatory burden on small businesses and emerging growth companies

FINRA ordered by SEC to improve internal compliance policies and procedures

  • Holland & Knight LLP
  • -
  • USA
  • -
  • November 7 2011

On October 27, 2001, the SEC ordered FINRA to obtain, within 30 days, the services of an independent consultant that will conduct a one-time comprehensive review of FINRA's policies and procedures and training relating to document integrity

Delaware court refuses to enjoin merger despite lack of typical fiduciary safeguards due to board's expertise in corporation's business

  • Holland & Knight LLP
  • -
  • USA
  • -
  • November 7 2011

Under Delaware law, a board of directors entering into a change of control transaction involving the sale of a company must secure the best value reasonably attainable for the company's stockholders

ISS publishes draft proxy voting guidelines

  • Holland & Knight LLP
  • -
  • USA
  • -
  • November 7 2011

On October 18, 2011, Institutional Shareholder Services, Inc. (ISS) published for comment its proposed 2012 updates to its proxy voting guidelines

Foreign private issuers can no longer submit filings on a confidential basis

  • Holland & Knight LLP
  • -
  • USA
  • -
  • December 12 2011

On December 8, 2011, the Division of Corporation Finance announced that, effective immediately, the policies controlling the filings of foreign private issuers and governments would be amended

SEC settles Regulation FD violations regarding trust preferred redemption

  • Holland & Knight LLP
  • -
  • USA
  • -
  • December 12 2011

On November 22, 2011, the SEC announced a settlement regarding Regulation FD violation allegations

SEC staff to release filing review correspondence earlier

  • Holland & Knight LLP
  • -
  • USA
  • -
  • December 12 2011

On December 1, 2011, the SEC announced that, starting January 1, 2012, comment letters and response letters relating to disclosure filings reviewed by the Divisions of Corporation Finance and Investment Management will be released by the staff of the SEC "no earlier than 20 business days" following the completion of a filing review

Southern District of New York dismisses Madoff suit by foreign investors under SLUSA

  • Holland & Knight LLP
  • -
  • USA
  • -
  • December 12 2011

On November 29, 2011, the Southern District of New York (SDNY), dismissed claims by a class of foreign plaintiffs who invested in foreign feeder funds that invested in the ponzi scheme orchestrated by Bernard L. Madoff ("Madoff") and Bernard L. Madoff Investment Securities LLC ("Madoff Securities"

Changes to form 10-Q and 10-K: mine safety disclosures

  • Holland & Knight LLP
  • -
  • USA
  • -
  • February 7 2012

On January 27, 2012, changes to Forms 8-K, 10-Q, 10-K, 20-F and 40-F under the Securities Exchange Act of 1934 went into effect which apply to all companies, even if there is no mine safety disclosure required

CalSTRS and CalPERS adopt policies on corporate political contributions disclosure

  • Holland & Knight LLP
  • -
  • USA
  • -
  • February 7 2012

CalSTRS announced they had formally adopted a policy calling for portfolio companies to annually report their expenditures on political contributions and make that information "readily accessible to shareholders."