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2,872 results found


Hogan Lovells | Germany | 12 Apr 2019

M&A Litigation in Germany

A structured guide to M&A litigation in Germany


Freshfields Bruckhaus Deringer | USA, United Kingdom, European Union | 27 Mar 2019

SEC advises on how to disclose complex, uncertain and evolving risks, including Brexit - Let investors see with management’s eyes

At a recent conference in London, Bill Hinman, Director of the SEC’s Division of Corporation Finance, spoke about crafting reliable and robust


Youssry Saleh & Partners | Egypt | 4 Mar 2019

Egypt: Cumulative Voting According to FRA’s New Decree

The Egyptian Financial Regulatory Authority (FRA) supervises & regulates all non-banking financial markets and instruments, including capital markets


Youssry Saleh & Partners | Egypt | 25 Feb 2019

Securities Litigation in Egypt

In Egyptian stock market, many transactions are held on securities and financial instruments that include stocks, bonds, sukuk and securitization


Fasken | Canada | 23 May 2018

IIROC Oversight Review Report

On April 24, 2018, the Canadian Securities Administrators published the Oversight Review Report of the Investment Industry Regulatory Organization of


Osler Hoskin & Harcourt LLP | United Kingdom, Canada | 18 Apr 2018

Ontario’s 2018 budget emphasizes expanded consumer and investor protection tools

On March 28, 2018, the Ontario Liberal government released its 2018 budget (the 2018 Budget). As part of a broader emphasis on consumer and investor


Morgan Lewis | USA | 12 Apr 2018

Shareholder Litigation in the Wake of the MeToo Movement

Companies are facing a growing number of derivative and securities class actions in the wake of the MeToo movement. Having strong protocols to


Fasken | Canada | 11 Apr 2018

Aurora-CanniMed: Securities Regulators Hold Firm on New Bid Regime

On March 15, 2018, the Ontario Securities Commission (OSC) and the Financial and Consumer Affairs Authority of Saskatchewan (FCAAS) released highly


Bennett Jones LLP | Canada | 29 Mar 2018

Securities Commissions Provide Guidance on New Takeover Rules in Hostile Cannabis Bid

For close to three months, M&A lawyers and other capital markets participants had been anxiously awaiting the release of written reasons from the


Fenwick & West LLP | USA | 15 Mar 2018

SEC Fines Private Company in First Enforcement Action Resulting from Rule 701 Option Grants Investigation

The U.S. Securities and Exchange Commission brought an action against San Francisco-based Credit Karma on March 12 for issuing employee stock options

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