Sidley Austin LLP | USA | 10 Jun 2016
The exposure of corporate directors to shareholder derivative suits relating to their obligations to provide "risk oversight" to the company may turn…
Winston & Strawn LLP | USA | 26 Mar 2014
In its first "Opinion Procedure Release" of 2014, the U.S. Department of Justice responded to a request from a "United States financial services…
Wilson Elser | USA | 19 Dec 2012
The U.S. Department of Justice (DOJ) and the Securities and Exchange Commission (SEC) have finally issued Guidance on potential violations of the Foreign…
Winston & Strawn LLP | USA | 20 Dec 2011
On December 12, 2011, the SEC announced an enforcement proceeding that serves as a useful reminder that the federal laws against insider trading and misrepresentation apply as forcefully to private companies purchasing stock from employees and other shareholders as they do in the public company setting.
A Full-Service Business Law Firm Founded in 2011, Chance Bridge currently has four offices in Beijing, Shanghai, Shenzhen and Haikou, and there are…