We use cookies to customise content for your subscription and for analytics.
If you continue to browse Lexology, we will assume that you are happy to receive all our cookies. For further information please read our Cookie Policy.

Search results

Order by: most recent most popular relevance



Results: 1-10 of 3,375

Patent Prosecutors Beware: Earlier Publication Anticipates Broad Claims of Continuing Application
  • Jones Day
  • USA
  • February 12 2018

A recent written decision by the PTAB in connection with an inter partes review (IPR) proceeding is a reminder to patent prosecutors to carefully


Canadian securities regulators seek comment on director and audit committee member independence
  • McCarthy Tétrault LLP
  • Canada
  • November 20 2017

On October 26, 2017, the Canadian Securities Administrators published for comment CSA Consultation Paper 52-404 - Approach to Director and Audit


Relaxation of the Minimum Paid-Up Capital Requirements for Securities and Derivatives Operators
  • Baker McKenzie
  • USA
  • October 18 2017

In August 2017 the Thai SEC issued a hearing paper on the reduction of minimum paid-up capital requirements for securities and derivatives operators


Whistleblower protections October 2017 the inquiry
  • DLA Piper
  • Australia, Ireland
  • October 17 2017

On 14 September 2017, the Parliamentary Joint Committee on Corporations and Financial Services (the Committee) reported to the Senate its


USCIS to Resume H-1B Premium Processing by October 3, 2017
  • Lane Powell PC
  • USA
  • September 28 2017

Earlier this year the United States Citizenship and Immigration Service (USCIS) announced that it would suspend premium processing for all H-1B


Requirement Takes Effect for SEC Filings to Include Hyperlinks to Exhibits
  • Sullivan & Cromwell LLP
  • USA
  • September 12 2017

Effective September 1, 2017, the rules of the Securities and Exchange Commission require registrants to include active hyperlinks to documents listed


AMF releases paper on managing conflicts of interest related to incentives in insurance
  • Osler Hoskin & Harcourt LLP
  • Canada
  • September 8 2017

The Autorité des Marchés Financiers (the “AMF”) recently released an issues paper on managing conflict of interest risk in relation to incentives


FCA paper on dark trading
  • Dechert LLP
  • United Kingdom
  • August 23 2017

The FCA has published an occasional paper on the aggregate market quality implications of dark trading. Occasional papers contribute to the debate on


The HIPAA “Wall of Shame” is Now Easier to Navigate
  • Mintz Levin
  • USA
  • July 31 2017

Last week, the HHS Office for Civil Rights (OCR) launched an improved version of their HIPAA Breach Reporting Tool (HBRT), commonly referred to by OCR


Insurance bulletin: FCA publishes second Insurance Distribution Directive consultation paper
  • Freshfields Bruckhaus Deringer
  • USA
  • July 27 2017

By way of follow up to our earlier briefing on the Insurance Distribution Directive (IDD), the FCA has now published its latest