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SEC and CFTC Jointly Adopt Rules Requiring Certain Investment Advisers and Other Regulated Entities to Establish Programs to Combat Identity Theft 5.1.2013
Securities Law Alert, April 2013 4.29.2013
Social Media and Regulation FD: SEC Uses Netflix Episode to Clarify Policy, Not Liberalize It 4.23.2013
Proposed Amendment to Delaware Merger Law May Result in Increased Pressure for Private Equity-Sponsors to Use Two-Step Merger Structures in Going-Private Transactions 4.17.2013
Insurance Law Alert, April 2013 4.17.2013
Federal Reserve Finalizes Key Definition to Be Used in Making “SIFI” Designations 4.15.2013
CFTC Issues Last-Minute Deadline Extension for Derivatives End-Users with Respect to Dodd-Frank Swap Reporting Rules and No-Action Relief from Certain Inter-Affiliate Swap Reporting Requirements 4.12.2013
SEC Official Provides Guidance on Broker-Dealer Registration Issues in the Context of Private Investment Funds 4.5.2013
Pro Bono Newsletter, April 2013 4.1.2013
The Supreme Court Holds That Class Plaintiffs’ Proposed Common Method for Proving Antitrust Impact And Damages on a Class-wide Basis Must Face Rigorous Scrutiny At Class Certification Stage Regardless Of Any Merits Overlap 3.28.2013
Securities Law Alert, March 2013 3.28.2013
Federal Banking Agencies Revamp Guidance on Leveraged Lending 3.27.2013
The Supreme Court Hears Oral Arguments on the Proper Antitrust Standard Governing Reverse-Payment or So-Called “Pay for Delay” Agreements Between Brand and Generic Pharmaceutical Companies 3.26.2013
Insurance Law Alert, March 2013 3.18.2013
SEC Filings Under The New Iran Disclosure Obligations Have Reached A Steady Drumbeat 3.5.2013
In Setback for the SEC, the Supreme Court Holds That Claims For Civil Penalties Must Be Brought Within Five Years Of The Alleged Offense 3.4.2013
SEC Expands Probe into Rule 10b5-1 Plans - Firms Should Prepare to Show Compliance 3.4.2013
The Supreme Court Holds That Class Certification of Rule 10b-5 Claims Does Not Require Proof of Materiality 2.28.2013
Securities Law Alert, February 2013 2.28.2013
Recent SDNY Opinions Provide Guidance for Foreign Nationals Charged with Violations of the FCPA 2.21.2013
Insurance Law Alert, February 2013 2.11.2013
Securities Law Alert, January 2013 1.31.2013
House Ways and Means Committee Releases Draft Provisions to Reform Financial Instruments Taxation 1.30.2013
Potential Insurance and Reinsurance Implications of Hurricane Sandy 1.30.2013
Mortgage Reform Update: CFPB Issues Final Rule on Residential Mortgage Lending Requirements 1.29.2013
Fiscal Cliff Tax Legislation Brings Certainty to Estate, Gift and GST Taxes and Makes Changes Affecting Charitable Giving 1.18.2013
Insurance Law Alert, January 2013 1.15.2013
Revised HSR Act Thresholds 1.14.2013
Bank Liquidity Requirements: Basel Oversight Committee Endorses Revised Liquidity Standards and Extends Fully Phased-In Compliance to 2019 1.8.2013
Simpson Thacher Women's Connection Issue #11 1.8.2013
Final, Proposed and Temporary Regulations Regarding the Requirements to Qualify as a Type III Supporting Organization 1.3.2013
Securities Law Alert, December 2012 12.21.2012
New Regulatory Framework for Foreign Banks with U.S. Operations 12.19.2012
Global Accounting Firms Caught in the Crossfire as SEC Fails to Reach Agreement with Chinese Regulators on Document Sharing 12.10.2012
Pro Bono Newsletter, December 2012 12.6.2012
Recent Developments Regarding Potential Pension Liabilities for Private Equity Funds 12.3.2012
Securities Law Alert, November 2012 11.30.2012
Transition Relief under Code Section 409A Will Expire on December 31, 2012 for Certain Deferred Compensation Arrangement Corrections 11.28.2012
Tokyo Corporate and Litigation Newsletter, November 2012 11.27.2012
Highlights of the Government’s New FCPA Resource Guide 11.19.2012
The Supreme Court Considers the Extent to Which Courts Must Determine the Admissibility of Expert Evidence at the Class Certification Stage 11.7.2012
The Supreme Court Considers Proof Required for Class Certification under Rule 10b-5 11.7.2012
FCPA Concerns for Investments in Brazil 11.5.2012
Securities Law Alert, October 2012 10.31.2012
Tokyo Securities and M&A Newsletter, October 2012 10.24.2012
Long-Awaited FCPA Guidance is Reportedly Imminent 10.15.2012
California Amends Its False Claims Act to Mirror Federal Law, Preserve Federal Incentive Awards, and Loosen the Reins on Whistleblower Suits 10.12.2012
Securities Law Alert, September 2012 9.28.2012
Proposed Regulations Relating to Equivalency Determinations by Private Foundations 9.26.2012
SEC Adopts Final Rule Pursuant to the Dodd-Frank Act for Disclosing the Use of Conflict Minerals 9.12.2012
SEC Proposes Rules to Permit General Solicitation and Advertising in 144A Offerings and Private Placements 9.6.2012
SEC Adopts Rules Requiring Payment Disclosures by Resource Extraction Issuers 9.6.2012
SEC Proposes Rules to Eliminate the Prohibition Against General Solicitation and Advertising in Certain Private Securities Offerings – Private Investment Funds Perspective 8.31.2012
New CFTC Guidance on Registration and Compliance Obligations for CPOs and CTAs 8.23.2012
Securities Law Alert, August 2012 8.22.2012
CFTC and SEC Publish Key Swap Product Definition Rules under Dodd-Frank, Starting a Countdown to Compliance 8.17.2012
Developments in English Law: Chancery Division of High Court Overturns Exit Consent 8.3.2012
Securities Law Alert, July 2012 7.30.2012
Pro Bono Newsletter, July 2012 7.25.2012
Simpson Thacher Women's Connection Issue #10 7.23.2012
The CFTC Further Clarifies End-User Exception to the Mandatory Clearing Requirement for Swaps 7.18.2012
SEC and CFTC Finalize Key Swap Product Definitions Under Dodd-Frank, Triggering the Effectiveness or Phase-In of Many Dodd-Frank Derivatives Regulatory Provisions 7.12.2012
Federal Reserve Issues Guidance on Pre-Filing Reviews of Bank and Nonbank Acquisitions and Other Proposals 7.11.2012
SEC Adopts Final Rule Requiring Listing Standards for Compensation Committees 6.29.2012
Securities Law Alert, June 2012 6.29.2012
The CFTC Adopts Final Rules on the Recordkeeping and Reporting of Historical Swaps 6.20.2012
Basel III Update: Federal Reserve Proposes New Bank Capital Framework 6.8.2012
New Figures Confirm That Dodd-Frank Whistleblower Tips Are Pouring Into The SEC 6.6.2012
Opportunity to Make Tax-Free Gifts Set to Expire Soon 6.6.2012
Securities Law Alert, May 2012 5.31.2012
Governor Cuomo’s Executive Order 38 and Regulations Affecting New York State-Funded Service Providers 5.25.2012
Introduction of the New York Non-Profit Revitalization Act 5.25.2012
House Passes Capital Access Reform Legislation 3.12.2012
Insurance Law Alert, March 2012 3.6.2012
Tokyo Securities and M&A Newsletter, February 2012 2.27.2012
Insurance Law Alert, January 2012 1.11.2012
Financial Stability Oversight Council Releases Proposed Rules and Interpretive Guidance on Designations of Systemically Important Nonbank Financial Companies 10.24.2011
October’s Historically Low Interest Rates Enhance Intra-Family Transfers 9.26.2011
Pro Bono Newsletter, July 2011 7.15.2011


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