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.

Search results

Order by: most recent most popular relevance



Results: 1-10 of 11,179

Supreme Court to Consider Fundamental Issues in Omissions-Based Fraud Cases
  • Kilpatrick Townsend & Stockton LLP
  • USA
  • April 25 2017

The Supreme Court recently agreed to review a case which has split the circuit courts and has potentially huge implications for disclosure liabilities


Disclosing Election of a New Director: Remember Item 5.02(d) of Form 8-K When Doing a Merger
  • Kilpatrick Townsend & Stockton LLP
  • USA
  • April 25 2017

All competent securities lawyers know that Item 5.02(d) of Form 8K requires a filing, on Form 8K, whenever a public company elects a new director


Committee Recommendations for U.S. Public Equity Markets
  • Morrison & Foerster LLP
  • USA
  • April 24 2017

The Committee on Capital Markets Regulation released a report setting forth certain recommendations that are intended to revive the public equity


PCAOB White Paper on Emerging Growth Companies
  • Morrison & Foerster LLP
  • USA
  • April 24 2017

In March 2017, the Public Company Accounting Oversight Board, or PCAOB, released a white paper detailing certain characteristics and trends of


Real estate investment in the United Kingdom
  • Ashurst LLP
  • Global, United Kingdom
  • April 21 2017

A structured guide to the real estate investment climate in the United Kingdom


Real Estate in Canada : Lexology Navigator Q&A
  • Stikeman Elliott LLP
  • Canada, Global
  • April 21 2017

A structured guide to real estate laws in Canada


SEC Crackdown on "Fake News" is Itself Fake News
  • Fenwick & West LLP
  • USA
  • April 21 2017

On April 10, the Securities and Exchange Commission filed sweeping charges against 27 companies and individuals that it accused of a simple stock


Hand Vein Authentication Bolsters Sarbanes-Oxley Compliance
  • Baker McKenzie
  • USA
  • April 19 2017

Notorious frauds at many Global Fortune Companies highlight the importance of internal controls. In spite of the Sarbanes-Oxley Act of 2002 (SOX or


SGX Requires Minimum Allocation to Retail Investors and Other Listing Rule Changes in March 2017
  • Allen & Overy LLP
  • Singapore
  • April 18 2017

Over the month of March 2017, the Singapore Exchange (SGX) introduced a number of changes to the Listing Rules. The key changes include the following:


SEC Staff Relaxes Limitations under 1940 Act to Permit Certain Global “Master-Feeder” Arrangements, Although Obstacles Remain
  • Dechert LLP
  • USA
  • April 18 2017

The Staff of the U.S. Securities and Exchange Commission (SEC) on March 8, 2017 issued a no-action letter (Staff Letter) in response to a request from