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Results:1-10 of 27

Financial institutions M&A trends: State-aided banks
  • White & Case LLP
  • USA, European Union
  • June 28 2018

State-aided banks are a fertile source of deal flow. Institutions continue to deleverage balance sheets and dispose of non-core businesses, while

German dealmaking into the US peaks in 2017
  • White & Case LLP
  • Germany
  • May 10 2018

German investors took part in a record level of M&A deals outside their borders in 2017, securing 394 outbound deals worth US$39 billion over the year

Auto finance
  • White & Case LLP
  • USA
  • April 24 2018

The CFPB has previously targeted the auto finance industry, with a particular focus on indirect (dealer-arranged) auto lenders and unfair or abusive

Key Investment Themes in UAE Real Estate & Real Estate Finance Markets
  • White & Case LLP
  • United Arab Emirates
  • February 26 2018

The end of 2017 proved to be very busy in UAE real estate and real estate finance markets. Here we put the spotlight on 3 key investment themes that

An Analysis of Nasdaq's "Golden Leash" Disclosure Rule
  • White & Case LLP
  • USA
  • July 20 2016

On July 1, 2016, the Securities and Exchange Commission (SEC) approved, on an accelerated basis, Nasdaq's new Rule 5250(b)(3), which requires

SEC issues compensation committee and compensation consultant independence rules as required by the Dodd-Frank Act
  • White & Case LLP
  • USA
  • June 27 2012

On June 20, 2012, the Securities and Exchange Commission (the "SEC") published final rules (the "Compensation Rules") requiring securities exchanges to change their listing standards with respect to compensation committee independence and authority, and requiring additional proxy statement disclosures regarding compensation consultants.

SEC approves stock-by-stock “circuit breakers”
  • White & Case LLP
  • USA
  • June 11 2010

The Securities and Exchange Commission (“SEC”) approved on June 10, 2010 rule changes filed by the national securities exchanges and the Financial Industry Regulatory Authority, Inc. (“FINRA”) that would require the exchanges and FINRA members trading listed securities in the over-the-counter market to pause trading in an individual stock when its price moves ten percent or more in a five-minute period.

Annual study of corporate governance practices of US-listed Israeli companies and commentary on the US corporate governance environment for Israeli companies
  • White & Case LLP
  • USA, Israel
  • September 14 2009

White & Case recently completed its annual study of the exemptions that US-listed Israeli companies take from the corporate governance requirements that apply to US domestic issuers.

Guide for foreign private issuers: preparing your upcoming Annual Report on Form 20-F
  • White & Case LLP
  • USA
  • January 8 2009

During 2008, the US Securities Exchange Commission (the “SEC”) implemented several rule changes that will affect both the timing and the content of the Annual Reports filed by foreign private issuers on Form 20-F (“Annual Report”).

Repricing underwater stock options
  • White & Case LLP
  • USA
  • October 16 2008

The sub-prime mortgage crisis and the resulting economic downturn have significantly impacted stock prices at a large number of companies.