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903 results found

Article

McCarthy Tétrault LLP | Canada | 6 Jan 2017

Tax Voluntary Disclosures for Canadian Residents

As anticipated, the Canada Revenue Agency has been put on notice to restrict its Voluntary Disclosures Program. Before the Holidays, the Offshore

Article

Arnold & Porter Kaye Scholer LLP | USA | 21 Nov 2016

New Rule Requires Federal Contractor Disclosure of Existing Greenhouse Gas Emissions Reporting

As part of a federal government-wide initiative to significantly reduce its greenhouse gas emissions, in addition to setting new efficiency standards

Article

Baker McKenzie | USA | 30 Sep 2016

SEC Files Lawsuit Against American Multinational Corporation and its General Counsel for Failure to Disclose Loss Contingency Related to Pending DOJ Investigation

The U.S. Securities and Exchange Commission ("SEC") recently filed a law enforcement action for failure to disclose loss contingencies arising out of

Article

Duane Morris LLP | USA | 15 Sep 2016

SEC Files Civil Claims Against General Counsel for Mishandling Internal Investigation and Securities Disclosures

On September 9, 2016, the U.S. Securities and Exchange Commission ("SEC") charged Ohio-based chemical company RPM International Inc. ("RPM") and its

Article

Borden Ladner Gervais LLP | Canada | 16 Aug 2016

Court Orders Production of Native Accounting Records Where Operator Fails to Maintain An Oil Sands Project Carried Account

In a recent decision of the Alberta Court of Queen’s Bench, Bard v Canadian Natural Resources, 2016 ABQB 267, the Court considered issues respecting

Article

Sheppard Mullin Richter & Hampton LLP | USA | 22 Jul 2016

SEC Proposes Amendments to Update and Simplify Disclosure Requirements as Part of Overall Disclosure Effectiveness Review

On July 13, 2016, the Securities and Exchange Commission (the “SEC”) announced proposed amendments in order to update and simplify its disclosure

Article

Katten Muchin Rosenman LLP | USA | 22 Jul 2016

SEC Proposes Amendments To Update and Simplify Disclosure Requirements: A Closer Look

On July 13, the Securities Exchange Commission proposed and requested comment regarding rule amendments to update and simplify certain disclosure

Article

Farrer & Co LLP | United Kingdom | 18 Jul 2016

Dismissal was automatically unfair even though the decision-taker did not know about the protected disclosure

The Claimant raised concerns with her line manager, Mr Widmer, about a possible breach of the Respondent’s rules and of regulatory rules. In response

Article

Katten Muchin Rosenman LLP | USA | 15 Jul 2016

SEC Proposes Amendments To Update and Simplify Disclosure Requirements

On July 13, the Securities and Exchange Commission proposed rule amendments to update and simplify certain disclosure requirements that may have

Article

Venable LLP | USA | 7 Jul 2016

Credit Cards under the CFPB Spotlight in June 2016

As of July 1, 2016, the Bureau has handled approximately 97,100 credit card-related complaints. Consumer complaints span the breadth of the credit

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