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International regulatory update 4 Feb-8 Feb 2013
- Clifford Chance LLP
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- European Union, Germany, Global, Hong Kong, Singapore, United Kingdom, USA
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- February 11 2013
EMIR: European Parliament’s resolution to reject Delegated regulations withdrawn; MiFID review: EU Council Presidency publishes Compromise texts
International regulatory update
- Clifford Chance LLP
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- Belgium, European Union, Germany, Global, Hong Kong, Japan, Netherlands, Singapore, South Korea, United Kingdom, USA
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- July 4 2011
The FSA has published a document setting out its initial thinking on how the Financial Conduct Authority (FCA), which is expected to be established by end-2012, will approach the delivery of its objectives
International regulatory update 18-29 April 2011
- Clifford Chance LLP
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- Global, Hong Kong, India, Japan, Switzerland, United Arab Emirates, United Kingdom, USA
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- May 3 2011
The Financial Stability Board (FSB) has published a progress report on the implementation of OTC derivatives market reforms
International regulatory update 2-6 May 2011
- Clifford Chance LLP
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- Bahrain, European Union, Germany, Hong Kong, India, Netherlands, Switzerland, United Kingdom, USA
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- May 9 2011
The US Treasury Department has published a Notice of Proposed Determination exempting FX swaps and forwards from the central clearing and exchange trading requirements imposed by the Dodd-Frank Act
International regulatory update 24-28 January 2011
- Clifford Chance LLP
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- European Union, Hong Kong, United Kingdom, USA
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- January 31 2011
French President Nicolas Sarkozy has given a speech launching France's presidency of the G20 and G8 and setting out its priorities for 2011
International regulatory update 21-25 November 2011
- Clifford Chance LLP
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- Australia, Belgium, Czech Republic, European Union, Global, Hong Kong, Netherlands, United Kingdom, USA
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- November 28 2011
The Financial Markets Law Committee (FMLC) has published a paper responding to the UK government’s consultation paper entitled ‘A new approach to financial regulation: the blueprint for reform’, which was published in June 2011
General counsel update
- Herbert Smith Freehills LLP
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- China, European Union, Germany, Hong Kong, Indonesia, Mongolia, Singapore, United Kingdom, USA
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- July 11 2012
This is the thirtieth in our series of general counsel updates which aim to summarise major developments in key areas
This week in securities litigation (week ending October 26, 2012)
- Dorsey & Whitney LLP
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- Hong Kong, United Kingdom, USA
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- October 26 2012
The focus this week was on white collar criminal securities cases
The reach of the SEC the Hong Kong Exchange
- Dorsey & Whitney LLP
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- Hong Kong, USA
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- December 12 2012
In Morrison v. National Australia Bank, Ltd., 130 S.Ct. 869 (2010) the Supreme Court circumscribed the reach of Exchange Act Section 10(b), limiting it to the water’s edge
Financial services quarterly report
- Dechert LLP
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- European Union, Hong Kong, USA
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- December 18 2012
In 2008, supervisory authorities in several EU Member States and elsewhere, including the United States and Japan, adopted emergency measures to restrict or ban short selling, either in some or all financial instruments, with a focus on financial instruments issued by banks and other financial services providers
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