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SEC Adopts Proxy Access 8.25.2010
DOJ and FTC Issue Revised Horizontal Merger Guidelines 8.24.2010
Proposed Modifications to HSR Reporting 8.20.2010
Student Internships: What Employers Need to Know 8.19.2010
Regulation of Private Funds and Their Advisers Under the Dodd-Frank Wall Street Reform and Consumer Protection Act 8.3.2010
The Final SEC Rule on Political Contributions by Investment Advisers 7.29.2010
Guidance on New SEC Rating Agency Expert Consent Requirement 7.21.2010
Insurance Law Alert, July/August 2010 7.16.2010
The Volcker Rule Provisions in the Dodd-Frank Wall Street Reform and Consumer Protection Act 7.14.2010
U.S. Congress Nears Completion of Landmark Financial Services Reform Legislation 7.6.2010
The Supreme Court Affirms the Constitutional Validity of the PCAOB; Strikes Down “Double For-Cause” Removal Provisions as Unconstitutional 6.29.2010
The Supreme Court Holds That The “Honest-Services” Fraud Statute Covers Only Bribery and Kickback Schemes 6.25.2010
The Supreme Court Limits the Extraterritorial Application of the Antifraud Provisions of the U.S. Securities Laws 6.25.2010
The Supreme Court Holds That Arbitrators, Not Courts, May Decide Challenges To The Enforceability Of Stand-Alone Arbitration Agreements 6.22.2010
Delaware Court of Chancery Provides Guidance Regarding Preparation and Use of Discounted Cash Flow Analysis 6.8.2010
The Impact on the Insurance Industry of the Financial Regulatory Reform Bills: A Legislative Update 6.7.2010
Insurance Law Alert, June 2010 6.3.2010
The Prospective Impact on Public Companies of the Financial Regulatory Reform Bills: A Legislative Update 6.3.2010
Simpson Thacher Women's Connection Issue #6 6.3.2010
Estate Planning Developments 5.26.2010
Business Interruption Insurance in the Wake of the Gulf Oil Spill – What Insurers Can Do to Keep Slippery Claims at Bay 5.25.2010
The Impact on Private Equity and Hedge Funds of the Financial Regulatory Reform Bills: A Legislative Update 5.25.2010
The Supreme Court Finds NFL Licensing Activities Subject to Rule of Reason Antitrust Scrutiny 5.24.2010
Insurance Law Alert, May 2010 5.6.2010
The Supreme Court Vacates Arbitrators' Decision Allowing Class Arbitration Based Solely On Arbitrators' Own Policy Views 4.30.2010
The Supreme Court Rejects “Inquiry Notice” as Trigger to Start Running the Statute of Limitations in Securities Fraud Cases 4.29.2010
The Supreme Court Examines Whether Courts Must Decide the Enforceability of Arbitration Clauses Challenged as Unconscionable 4.28.2010
New York’s Highest Court Sets Forth New Standard for Challenges to Cost-Sharing Provisions in Arbitration Agreements 4.26.2010
The Supreme Court Requires Deference to Plan Administrator’s Interpretation of ERISA Plan Notwithstanding Administrator’s Prior Invalid Interpretation 4.23.2010
Insurance Law Alert, April 2010 4.5.2010
The Supreme Court Adopts the Gartenberg Standard to Determine Whether an Investment Adviser Breached its Fiduciary Duty in Approving Fees 3.31.2010
The Supreme Court Considers the Application of the Antifraud Provisions of the United States Securities Laws in “Foreign-Cubed” Cases 3.30.2010
Insurance Law Alert, March 2010 3.4.2010
Change in RiskMetrics Group Governance Ratings 3.3.2010
Short Sale Regulation Update: SEC Adopts "Alternative Uptick Rule" 2.25.2010
IRS Issues Final Regulations Relating to Employee Stock Purchase Plans and the Reporting Requirements for Employee Stock Purchase Plans and Incentive Stock Options 2.17.2010
SEC Issues Interpretive Guidance Regarding Climate Change Disclosure 2.8.2010
IRS Establishes Corrections Program to Cure Deferred Compensation Defects Under Code Section 409A 2.1.2010
SEC Proposes Amendments to Rule 10b-18 Safe Harbor for Issuer Share Repurchases 1.29.2010
Pro Bono Publico Vol. 4 1.22.2010
The 2010 Lapse in Federal Estate and GST Taxes: Planning Issues 1.22.2010
The Supreme Court Considers the Standards Governing the Interpretation of ERISA Plans 1.21.2010
Revised HSR Act Thresholds 1.21.2010
European Commission Publishes Report on Quantification of Antitrust Damages 1.20.2010
SEC Announces Significant New Initiatives to Encourage Cooperation in Investigations and Enforcement Actions 1.15.2010
The Supreme Court Considers Whether the NFL is a "Single Entity" and thus Immune from Antitrust Scrutiny 1.14.2010
FDIC Issues Guidance on Policy Statement for Investments in Failed Banks 1.8.2010
SEC Adopts Amended Rules for Compensation and Corporate Governance Disclosure 12.31.2009
Simpson Thacher Women's Connection Issue #5 12.22.2009
Current and Year-End Estate Planning Issues 12.17.2009
The Supreme Court Considers Whether Class Arbitration is Permitted When the Arbitration Clause is Silent on the Issue 12.10.2009
The Supreme Court Considers the Constitutionality of the Public Company Accounting Oversight Board 12.9.2009
The Supreme Court Considers the ‘Inquiry Notice’ Standard in Federal Securities Fraud Cases 12.1.2009
December 31, 2009 Deadline Approaches for Amendments to Comply with Section 162(m) and to Correct Certain Section 409A Operational Failures 11.17.2009
Federal Reserve Issues Proposed Incentive Compensation Guidance for All Banking Organizations 11.2.2009
Three Federal Courts Issue Back-to-Back Decisions Addressing the Viability of Global Warming Tort Actions 10.26.2009
Two Federal Bills Regulating Reinsurance Are Proposed 10.23.2009
Brazil Increases Tax on Foreign Exchange Transactions Related to Foreign Investments in the Brazilian Financial and Capital Markets 10.22.2009
Corban v. USAA: Reinterpreting the Anti-Concurrent Causation Clause 10.15.2009
SEC Signals that New Proxy Access Rules Will Likely Not Be Effective for 2010 Proxy Season 10.2.2009
Pro Bono Publico Vol. 3 9.9.2009


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