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The Financial Report June 25, 2015 - US Securities and Exchange Commission developments
  • DLA Piper LLP
  • USA
  • June 25 2015

The SEC issued an Order denying a motion for a stay of the Amendments for Small and Additional Issues Exemptions under the Securities Act (Regulation


Online health care, consumer data, cybersecurity risks, accounting fraud, patents Expect Focus Vol. II, Spring 2015
  • Carlton Fields Jorden Burt
  • Global, USA
  • June 17 2015

Large-scale data breaches have become increasingly common, bringing with them not only bad press and loss of customer goodwill


Securities and corporate governance litigation quarterly - April 27, 2015
  • Seyfarth Shaw LLP
  • USA
  • April 27 2015

The Supreme Court on March 24 issued its opinion in Omnicare, Inc. v. Laborers District Council Construction Industry Pension Fund


M&A due diligence FCPA & Goodyear
  • Barnes & Thornburg LLP
  • USA
  • February 27 2015

On Feb. 24, 2015, the SEC announced charges against Goodyear Tire & Rubber Company for violating the Foreign Corrupt Practices Act (FCPA). These


Goodyear’s settlement with the SEC emphasizes the importance of FCPA due diligence in M&A transactions and of having a robust anti-corruption policy
  • Mintz Levin Cohn Ferris Glovsky and Popeo PC
  • USA
  • February 25 2015

On February 24, 2015, Goodyear Tire & Rubber Co. agreed to pay more than $16 million to settle charges that two of its subsidiaries allegedly paid $3


International regulatory update - 9 - 13 February 2015
  • Clifford Chance LLP
  • Australia, European Union, Germany, South Korea, USA
  • February 17 2015

The EU Council's Permanent Representatives Committee (COREPER) has agreed the EU Council's negotiating stance on the proposed regulation on indices


SEC Co-Chief of Division of Enforcement’s Asset Management Unit identifies 2015 exam priorities for hedge and private equity funds
  • Sheppard Mullin Richter & Hampton LLP
  • USA
  • January 27 2015

On November 18, 2014, Julie M. Riewe, Co-Chief of the Division of Enforcement's Asset Management Unit of the Securities and Exchange Commission (the


Securities and corporate governance litigation quarterly - January 8, 2015
  • Seyfarth Shaw LLP
  • USA
  • January 8 2015

On December 10, 2014, the Second Circuit decided United States v. Newman, which vacated the convictions against two hedge fund managers Anthony


Opinion release 14-02: revisiting successor liability
  • Debevoise & Plimpton LLP
  • USA
  • November 25 2014

On November 7, the Department of Justice ("DOJ") issued its second opinion release of 2014, revisiting the question of successor liability in


M&A and Corporate Governance Newsletter-Fall 2014
  • Kaye Scholer LLP
  • USA
  • November 18 2014

On November 4, 2014, the district court in Allergan, Inc. v. Valeant Pharmaceuticals Int'l, Inc., Case No. SACV 14-1214 (C.D. Cal.) ruled on