On Oct. 6, 2017, BakerHostetler's Financial Services Industry team, in collaboration with the Ohio Bankers League, held its second annual Financial
Take note GCs: The question is not if you will have to respond to a cybersecurity incidentthe question is when. That was the message from speakers
Industry analysts report that Contract Lifecycle Management (CLM) solutions have gone from a benefit to a necessity - yet broad organizational
On September 15, 2016, the U.S. Department of Housing and Urban Development (HUD) issued guidance on how the nondiscrimination provisions in the Fair
It’s a myth that consumers read privacy policies. They don’t. I know that because I like privacy policies more than almost anyone - I’ve written them
I’m writing to inform you that I am being transferred to our Rio de Janeiro office next month for a twelve month assignment. It’s a bit daunting, but
In a decision that sparked widespread concern in Australia, the High Court of Australia has ruled that James Hardie's general counsel and company secretary owed the company a duty of care under the Australian Corporations Act: Shafron v Australian Securities and Investments Commission 2012 HCA 18.
Sean McKessy, Chief of the SEC's Office of the Whistleblower, and Mark Cahn, General Counsel for the SEC, recently outlined the Office of the Whistleblower's activities and priorities in public remarks.
On 17 June 2011 the Antitrust Division of the U.S. Department of Justice (the Division) updated its policy guide to merger remedies.
On June 17, 2011, the Antitrust Division of the Department of Justice (“DOJ”) updated its Policy Guide to Merger Remedies, signaling a shift toward a more flexible, case-by-case approach to merger remedies.