BakerHostetler | Ireland, USA | 29 Jul 2016
Welcome to the 2016 Mid-Year Report From the BakerHostetler Securities Litigation and Regulatory Enforcement Practice Team. The purpose is to provide…
Cassels Brock & Blackwell LLP | Canada | 4 Nov 2011
Two things are certain in life - death and taxes.
Dechert LLP | USA | 25 May 2011
Thanks to the folks over at the FDA law blog for tipping us off to interesting provisions of pending legislation that emerged earlier this week from various house committees
Greenberg Traurig LLP | USA | 4 Apr 2011
Earlier this year, the New Jersey Division of Taxation ("Division") announced a second Offshore Voluntary Compliance Initiative.
Morgan, Lewis & Bockius LLP | USA | 21 May 2010
Financial reform legislation, if signed, will - among other changes - allow employee whistleblowers to bypass Sarbanes-Oxley administrative proceedings and its 90-day statute of limitations for bringing retaliation claims.
Winston & Strawn LLP | USA | 16 Apr 2010
No potential investment in a health care company should be contemplated without considering federal health regulatory compliance issues and completing adequate due diligence to address these issues.
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.
Alston & Bird LLP | USA | 19 Feb 2009
A recent report to the Commission on Wartime Contracting, entitled “Hard Lessons: The Iraq Reconstruction Experience,” has again focused the spotlight on deterring waste and fraud within the government contracting community.
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.