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

Refine your search

Content type

Tags

Firm name

Author

625 results found

Article

Hall & Wilcox | Australia | 21 Nov 2018

Cryptocurrency and tax - the ATO’s expectations in relation to record keeping

For many who are investing or trading in cryptocurrencies, one of the biggest headaches is recording and accounting for all of your transactions. In

Article

McCann FitzGerald | European Union | 21 Nov 2018

European Commission Publishes Financial Services Priorities for 2019

The European Commission (“EC”) has published its Work Programme for 2019 which covers a variety of areas including financial services. No new

Article

Addleshaw Goddard LLP | Global | 19 May 2017

Financial Services and Banking News Update- 19 May 2017

The FCA has published a new webpage on cyber resilience. The FCA notes that cyber risks pose a threat to all financial services firms. Firms should

Article

Kingsley Napley | United Kingdom | 9 Dec 2016

Does recent guidance set clearer parameters for taxation loopholes?

Private Client analysis: The UK’s accountancy and tax bodies’ latest guidance to tax advisers and agents, particularly in relation to avoidance

Article

Kramer Levin Naftalis & Frankel LLP | USA | 12 May 2014

Capital requirements for insurers under Collins Amendment -- the saga continues

As discussed in a previous Kramer Levin client alert,1 Federal legislators and regulators have been seeking to clarify ambiguities in the Dodd-Frank

Article

Schoenherr | Austria | 28 Jan 2014

Authority takes on financial supervision under new Control of Accounting Act

On July 1 2013 the Control of Accounting Act entered into force. Its purpose is to ensure that financial reporting published by entities whose equity

Article

Ropes & Gray LLP | USA, China | 12 Jul 2013

Chinese Securities Regulator announces plans to produce documents in ongoing “big four” accounting firm SEC enforcement action

According to a public statement issued by the China Securities Regulatory Commission ("CSRC") on July 9, 2013, China's securities regulator is

Article

Ballard Spahr LLP | USA | 11 Jul 2011

GASB proposes changes to state and local government pension financial reporting

On July 8, 2011, the Governmental Accounting Standards Board (GASB) released proposed changes to its standards for pension accounting and financial reporting by state and local governments, which face growing scrutiny by financial regulators and legislators.

Article

Haynes and Boone LLP | USA | 23 Jun 2011

Beware of the claw: implementing mandatory clawback provisions in executive employment agreements under the Dodd-Frank Act

The Dodd-Frank Wall Street Reform and Consumer Protection Act (the “Act”) was signed into law by President Obama on July 21, 2010

Article

Paul Weiss | USA | 3 Jun 2011

SEC adopts whistleblower bounty rules

In a 3-2 vote split along party lines, the Securities and Exchange Commission has approved final rules to implement the whistleblower "bounty" provisions mandated by the Dodd-Frank Wall Street Reform and Consumer Protection Act.

Previous page 1 2 3 ...