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Results: 1-10 of 1,391

2016 Annual Report- 19 major trends in Antitrust Law
  • Shearman & Sterling LLP
  • OECD, United Kingdom, USA
  • May 27 2016

As described by Chairwoman Edith Ramirez, the 2010 Guidelines “make clear that merger analysis is not the mechanical application of a series of


The HSR Act’s “Investment” Exemption - Strategic Considerations in Light of Recent Enforcement
  • Locke Lord LLP
  • USA
  • April 22 2016

On April 4, 2016 the Department of Justice (DOJ) sued ValueAct Capital (ValueAct), an "activist" investment fund, for violation of the


Will Antitrust Cases Relating to Securities Transactions Invite More Objections Because of Their Complexity?
  • Mintz Levin Cohn Ferris Glovsky and Popeo PC
  • USA
  • April 12 2016

The deadline for parties to object to the settlement in the In re Credit Default Swaps Antitrust Litigation, Master Docket No. 13-MD-2476 (DLC) in


Interpretation of Antitrust Exemption at Heart of DOJ Action Against ValueAct
  • Skadden Arps Slate Meagher & Flom LLP
  • USA
  • April 8 2016

On April 4, 2016, the U.S. Department of Justice, Antitrust Division (DOJ) filed a complaint against activist investor ValueAct Capital in California


ISDAfix Class Action Authorized to Proceed by Federal Court
  • Katten Muchin Rosenman LLP
  • USA
  • April 3 2016

A US federal court in New York City declined to grant a request by 14 banks and ICAP Capital Markets LLC to dismiss a putative class action lawsuit


Market Abuse Update January 2016
  • Herbert Smith Freehills LLP
  • European Union, United Kingdom, USA
  • January 13 2016

In September, the European Securities and Markets Authority (ESMA) published the final draft of its technical standards for the Market Abuse


Judge Forrest Dismisses Zinc Antitrust Case; Chides Lawyers for “Group Pleading”
  • Steptoe & Johnson LLP
  • USA
  • January 7 2016

In an opinion today, Judge Forrest dismissed (with a limited right to replead) claims that various banks and their affiliates conspired to monopolize


Going to market - consumer law update
  • Chapman Tripp
  • Australia, New Zealand, United Kingdom, USA
  • November 12 2015

The risks for organisations from breaching consumer law are high with increased penalties, new fair trading and consumer credit regimes and more


Other developments
  • Ropes & Gray LLP
  • USA
  • October 7 2015

Since the last issue of our IM Update, we have also published the following separate Alerts of interest to the investment management industry: SEC


Expect Focus: onboard technology, NAIC cybersecurity, DOL, ACA litigation, SEC regulation (Vol. III, Summer 2015)
  • Carlton Fields
  • USA
  • September 25 2015

Editors at Wired magazine recently engaged in a yearlong project to develop a means to hack the onboard computer of a Jeep, and override the driver’s