Morrison & Foerster LLP | USA | 18 Jul 2016
Last week, OCIE published a National Exam Program Risk Alert highlighting the staff’s focus on advisers’ responsibility to act consistently with…
Squire Patton Boggs | Germany | 28 May 2010
On May 3, 2010 Germany’s Federal Ministry of Finance (Bundesministerium der Finanzen, BMF) submitted to market participants the draft for debate of an act on strengthening investor protection and improving the functionality of the capital markets.
Reed Smith LLP | USA | 15 May 2009
The Securities and Exchange Commission's Division of Corporation Finance has updated its Compliance and Disclosure Interpretations relating to Rule 10b5-1 under the Securities Exchange Act of 1934.
Fried Frank Harris Shriver & Jacobson LLP | USA | 29 Dec 2006
Today, the Office of the Inspector General of the Health and Human Services Department publicly disclosed letters sent to the Attorneys General of ten states showing the results of its review of state false claims statutes under guidelines issued in response to the Deficit Reduction Act of 2005.
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