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