Publications Apr 30, 2014 Insurance Law Alert, April 2014 Apr 30, 2014 Securities Law Alert, April 2014 Apr 24, 2014 SEC Charges CVS With Misleading Investors Through Materially Misleading Disclosures and Use of Improper Accounting Apr 24, 2014 Mary Touchstone and Julia Kohen Publish Article on Subscription Credit Facilities Apr 22, 2014 Supplementary Leverage Ratio Standards: An Update Apr 11, 2014 Corporate Litigation: Privilege and Work Product in Internal Investigations Apr 09, 2014 The Supreme Court Considers the Scope of the Fiduciary Duty of Prudence Under ERISA With Respect to the Offering of Investments in Employer Stock Apr 02, 2014 Justice Matters: Simpson Thacher Pro Bono Newsletter, April 2014 Mar 31, 2014 Securities Law Alert, March 2014 Mar 28, 2014 Insurance Law Alert, March 2014 Mar 25, 2014 SEC Exempts “Foreign Issuer” From Filing a Preliminary Proxy Statement for Routine Proposals Required Under Foreign Law Mar 24, 2014 The Four Ring Circus-Round Eighteen – A Further Updated View of the Mating Dance Among Announced Merger Partners and an Unsolicited Second or Third Bidder (March 2014) Mar 24, 2014 Enhanced Prudential Standards for Large U.S. Bank Holding Companies Mar 21, 2014 SEC’s Division of Corporation Finance Issues Revised Statement on Well-Known Seasoned Issuer Waivers Mar 19, 2014 Three Federal Courts Dismiss Lawsuits Against Chevedden, Citing Lack of Subject Matter Jurisdiction Mar 19, 2014 New York Court of Appeals Roundup: Confessions and Police Deception; Rare Reversal in 'K2' Mar 18, 2014 Delaware Chancery Court Holds Financial Advisor Liable for Aiding and Abetting Fiduciary Duty Breaches Mar 14, 2014 Selected Legal Issues Relating to the Selection and Implementation of Differing Forms of Consideration in M&A Transactions (March 2014) Mar 13, 2014 SEC Takes Strict Interpretation of Rule 14a-8’s One-Year Holding Period Requirement Mar 11, 2014 Going Public: A Guide for North American Companies to Listing on the US Securities Markets ...151152153154155156157158159160...