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FINRA proposal requires disclosure of enhanced compensation
- Morrison & Foerster LLP
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- USA
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- January 16 2013
Continuing ongoing efforts to address conflicts of interest in the financial services industry, FINRA requested comments on a Proposed Rule
California litigation report
- Sidley Austin LLP
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- USA
- -
- January 9 2013
As we head into the new year, this edition of the California Litigation Report describes some significant business cases that are likely to be decided by
Post election update
- Bracewell & Giuliani LLP
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- USA
- -
- November 9 2012
The voters have now spoken in one of the most hotly contested and expensive races in American history, and the net effect of countervailing political winds was ironically to perpetuate the political status quo
General counsel update
- Herbert Smith Freehills LLP
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- China, European Union, Germany, Hong Kong, Indonesia, Mongolia, Singapore, United Kingdom, USA
- -
- July 11 2012
This is the thirtieth in our series of general counsel updates which aim to summarise major developments in key areas
US political law compliance and risk management
- Dentons
- -
- USA
- -
- April 3 2012
The influence of Super PACs on the Republican presidential primary has been well-documented
Financial services L&E advisory: 12 issues to watch in 2012
- Epstein Becker Green
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- USA
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- February 21 2012
For employers in the financial services industry, 2012 is already shaping up to be a mixed bag
Financial services pay
- Gibson Dunn & Crutcher LLP
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- USA
- -
- January 31 2011
On 1 January 2011, the Financial Services Authority's revised Remuneration Code (the "Code") came into force and now applies to approximately 2,500 FSA registered firms
Golden guidance on golden parachutes
- Morrison & Foerster LLP
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- USA
- -
- December 9 2010
The FDIC issued Financial Institution Letter 66-2010 ("FIL-66-2010") providing guidance on regulatory expectations with respect to applications to make permissible golden parachute payments
ERISA advisory - proposed regulation redefining fiduciary
- Steptoe & Johnson LLP
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- USA
- -
- November 5 2010
On October 21, 2010, the Department of Labor (Department) proposed a wholesale revision to its regulation that defines the term “fiduciary” under ERISA and the Internal Revenue Code
New whistleblower protections for financial service employees
- Sutherland Asbill & Brennan LLP
- -
- USA
- -
- October 1 2010
Much attention has been given to the whistleblower protections of Section 922 of the Dodd-Frank Wall Street Reform and Consumer Protection Act
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