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252 Matching Publications: Investment Management
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1 President Obama's Fiscal Year 2014 Revenue Proposals: Proposals Relating to Domestic Business Taxation
April 16, 2013
S&C Publication - Sullivan & Cromwell LLP
2 SEC Guidance on Disclosure Through Social Media: Like Websites, Social Media Can Be a Regulation FD-Compliant Means of Broad Dissemination But Only If the Company Has Taken Steps to Establish It as a Recognized Channel of Distribution; Companies Using Social Media Should Remain Mindful of Antifraud and Other Regulatory Concerns
April 8, 2013
S&C Publication - Sullivan & Cromwell LLP
3 Proxy Litigation Update: Companies Should Prepare for Potential Proxy Disclosure Litigation in Connection with Approval of Equity Compensation Plans and “Say-on-Pay” Vote
March 20, 2013
S&C Publication - Sullivan & Cromwell LLP
4 Securities Class Actions: U.S. Supreme Court Holds That Materiality Need Not Be Proven at Class Certification Stage To Trigger the “Fraud-on-the-Market” Presumption of Reliance in Securities Fraud Actions
February 28, 2013
S&C Publication - Sullivan & Cromwell LLP
5 Government Enforcement Actions: Supreme Court Holds “Discovery Rule” Does Not Apply to General Federal Statute of Limitations for Government Enforcement Actions Seeking Civil Penalties
February 27, 2013
S&C Publication - Sullivan & Cromwell LLP
6 Proxy Litigation: Court Enjoins Apple Shareholder Vote on a Charter Amendment Under SEC’s Unbundling Rules but Refuses to Enjoin “Say-on-Pay” Vote Based on CD&A Disclosure
February 27, 2013
S&C Publication - Sullivan & Cromwell LLP
7 FATCA: Final Regulations: Treasury Issues Long-Awaited Final Regulations on FATCA; U.S. Enters into Related Intergovernmental Agreement with Switzerland
February 26, 2013
S&C Publication - Sullivan & Cromwell LLP
8 Bank Capital Plans and Stress Tests: Federal Reserve Announces 2013 Public Release Dates for Results of the Supervisory Stress Tests Imposed by the Dodd-Frank Act and the Comprehensive Capital Analysis and Review Program
January 29, 2013
S&C Publication - Sullivan & Cromwell LLP
9 Final Stock Exchange Rules for Compensation Committees and Advisers: SEC Approves NYSE and Nasdaq Revised Listing Standards; Board Action Required by July 1, 2013 with Regard to Compensation Committee Authority over Compensation Advisers
January 25, 2013
S&C Publication - Sullivan & Cromwell LLP
10 Compensation Committees: SEC Approves NYSE and Nasdaq Rules on Independence of Compensation Committees and Advisers; Committees Must Be Given Expanded Authority by July 1, 2013
January 17, 2013
S&C Publication - Sullivan & Cromwell LLP
11 Basel III Liquidity Framework: Basel Committee Publishes Changes to the Liquidity Coverage Ratio
January 15, 2013
S&C Publication - Sullivan & Cromwell LLP
12 Hart-Scott-Rodino Act: HSR Act Revised Jurisdictional Thresholds
January 11, 2013
S&C Publication - Sullivan & Cromwell LLP
13 Audit Committees: Potential Areas for Inquiry as a Result of 2010 PCAOB Inspections of Public Company Auditors
January 9, 2013
S&C Publication - Sullivan & Cromwell LLP
14 Basel III Liquidity Framework: Basel Committee Announces Summary of Changes to the Basel III Liquidity Coverage Ratio
January 7, 2013
S&C Publication - Sullivan & Cromwell LLP
15 Reporting Requirements for Foreign Financial Accounts: FinCEN Releases Notice Extending Deadline to June 30, 2014 for Certain Signature Authority Filers
January 4, 2013
S&C Publication - Sullivan & Cromwell LLP

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