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Results: 1-10 of 1,946

The Financial Choice Act
  • Baker McKenzie
  • USA
  • June 27 2017

The House of Representatives recently passed H.R. 10, the Financial CHOICE Act (the Choice Act), in an effort to repeal andor replace critical


Post-Closing Application of Specified Employee Rules
  • Baker McKenzie
  • USA
  • April 27 2017

How do the specified employee rules under Code Section 409A apply when two public companies merge and both partners use the default rules to identify


Regulatory Developments and Annual Compliance Obligations Applicable to Private Fund Sponsors
  • Weil Gotshal & Manges LLP
  • USA
  • February 23 2017

Over the course of the last year there have been a number of regulatory developments affecting private funds and their investment advisers that


The Global Employer: A Primer On International Labor and Employment Issues 2016
  • Baker McKenzie
  • Australia, European Union, OECD, United Kingdom, USA
  • February 22 2017

For today's employers, managing a global workforce requires complying with local labor and employment laws in multiple jurisdictions, staying abreast


2017 Update for Investment Advisers
  • Sidley Austin LLP
  • USA
  • February 17 2017

Investment advisers registered with the Securities and Exchange Commission (SEC) have certain annual requirements under the Investment Advisers Act


2017 Legislative and Regulatory Outlook Contents
  • Hogan Lovells
  • USA
  • February 13 2017

President Donald Trump's victory in the election of 2016 had long coattails, helping Republicans narrowly maintain their majority in the Senate and


2017 Annual Update - Bryan Cave Private Funds Practice
  • Bryan Cave LLP
  • USA
  • February 9 2017

As we move into a New Year, we have taken the opportunity to prepare an Annual Update for our investment adviser and private fund clients. This


Sidley Perspectives on M&A and Corporate Governance - February 2017
  • Sidley Austin LLP
  • USA
  • February 7 2017

The potential liability from a material cyber-attack is wide-ranging. Accordingly, companies that experience network intrusions, system disruptions


Reminder: Certain U.S. Reporting and Compliance Obligations for Investment Advisers and Funds
  • Dechert LLP
  • USA
  • February 1 2017

The U.S. federal securities laws and the rules of U.S. self-regulatory organizations (such as the Financial Industry Regulatory Authority) impose


Funds Talk: February 2017
  • Kramer Levin Naftalis & Frankel LLP
  • European Union, USA
  • February 1 2017

As the new year begins, U.S. regulators highlighted the areas - some new and some familiar - which will be the focus of their examinations in the