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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

Financial services update August 11 2014 judicial developments
  • Winston & Strawn LLP
  • USA
  • August 11 2014

On August 8th, the Ninth Circuit affirmed the dismissal of a securities fraud suit. The court held that the announcement of an investigation

Confronting FCPA and anti-corruption risk in China M&A deals
  • Paul Hastings LLP
  • China, USA
  • June 17 2014

Fighting corruption around the globe is an increasingly high priority for U.S. enforcement agencies and China lies at the center of that effort. In