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: 1-5 of 5

AIFM Directive 2013 update: US and other non-EU managers managing EU funds

  • Sidley Austin LLP
  • -
  • Global
  • -
  • April 2 2013

In our previous Update, we examined what US and other non-EU alternative investment fund managers (“AIFMs”) will need to do from 22 July 2013 in

Anti-corruption quarterly - 2011 year-end review

  • Sidley Austin LLP
  • -
  • Global
  • -
  • January 12 2012

FCPA enforcement continued apace in 2011, remaining a high priority for both the DOJ and SEC

The new S&P counterparty risk criteria

  • Sidley Austin LLP
  • -
  • Global
  • -
  • January 11 2011

On December 2, 2010, Standard & Poor's Ratings Services ("S&P") published an article titled "Counterparty And Supporting Obligations Methodology And Assumptions" (as republished on December 6, 2010, the "2010 Counterparty Criteria") which updates and addresses the counterparty risk principles described in "Principles-Based Rating Methodology For Global Structured Finance Securities," published May 29, 2007 and supersedes numerous prior S&P articles devoted to the same subject matter

Hybrid capital product development: Focusing on Tier 1 and other hybrid capital products

  • Sidley Austin LLP
  • -
  • European Union, Global, USA
  • -
  • March 23 2010

It is our pleasure to provide you with the eleventh edition of Sidley's publication on hybrid capital product development

Short-selling: progress on international harmonisation and forthcoming changes in the UK

  • Sidley Austin LLP
  • -
  • Global, United Kingdom
  • -
  • July 23 2009

This update highlights a number of important developments regarding the regulatory framework for the short-selling of securities