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 18

Key legislative and regulatory developments in 2012

  • Rajah & Tann LLP
  • -
  • Singapore
  • -
  • January 30 2013

This Update provides a brief summary of the key statutory and regulatory developments in 2012. Three Amendment Acts were passed in 2012 and came into

International regulatory update 7 - 11 January 2013

  • Clifford Chance LLP
  • -
  • European Union, France, Global, India, Poland, Singapore, United Kingdom, USA
  • -
  • January 14 2013

EMIR: Extension of scrutiny period for Commission Delegated Regulations Basel III: Basel Committee releases revised version of Liquidity Coverage

2012 in review: key legal and regulatory developments

  • Allen & Gledhill LLP
  • -
  • Singapore
  • -
  • December 20 2012

This table provides an overview of the key developments in 2012 to date

General Counsel update - legal guide edition 32

  • Herbert Smith Freehills LLP
  • -
  • Australia, China, Hong Kong, Indonesia, Myanmar, Singapore, United Kingdom
  • -
  • November 29 2012

A summary of major developments in key areas

International regulatory update

  • Clifford Chance LLP
  • -
  • Australia, Belgium, European Union, Germany, Malaysia, Singapore, United Kingdom
  • -
  • October 8 2012

The high-level expert group on reforming the structure of the EU banking sector, chaired by Erkki Liikanen, has presented its final report to the European Commission

Examining the validity of non-reliance clauses in investment management documents

  • Rajah & Tann LLP
  • -
  • Singapore
  • -
  • September 6 2012

Non-reliance clauses are common fixtures in investment management agreements and account opening terms and conditions between financial intsitutions and their clients, protecting the institutions from any potential misadvice regarding investments and financial products

Battle for control: the Grand Banks Yachts Limited's saga

  • Stamford Law Corporation
  • -
  • Singapore
  • -
  • September 3 2012

Whilst the board of directors of a company are given the authority to manage a company's business and affairs, shareholders (as a collective body) are vested with the power to appoint or remove directors to the board

General counsel update: 31 May 2012

  • Herbert Smith Freehills LLP
  • -
  • Argentina, China, European Union, Hong Kong, Singapore, Spain, United Kingdom
  • -
  • May 31 2012

This is the twenty-ninth in our series of General Counsel Updates which aim to summarise major developments in key areas

International regulatory update 24-28 October 2011

  • Clifford Chance LLP
  • -
  • European Union, Global, Greece, Japan, Singapore, Switzerland, USA
  • -
  • October 31 2011

The European Council (Heads of State or Government) has agreed on a set of measures intended to raise confidence in the banking sector by facilitating access to term funding through a coordinated approach at EU level

Issues of corporate governance arising from Skandinaviska Enskilda Banken AB (Publ), Singapore Branch v Asia Pacific Breweries (Singapore) Pte Ltd & Anor

  • Wong Partnership
  • -
  • Singapore
  • -
  • October 4 2011

In Skandinaviska Enskilda Banken AB (Publ), Singapore Branch v Asia Pacific Breweries (Singapore) Pte Ltd & Anor 2011 SGCA 22, the Singapore Court of Appeal had to consider the claims of two banks ("plaintiffs") against Asia Pacific Breweries (Singapore) Pte Ltd ("APBS") for the repayment of loans disbursed due to the fraud of its employee, Chia Teck Leng ("Chia"