Publications Mar 06, 2014 The Supreme Court Considers Challenge to Key Legal Theory in Class Action Securities Litigations Mar 05, 2014 Getting The Deal Through – Private Equity 2014 Feb 28, 2014 Insurance Law Alert, February 2014 Feb 28, 2014 Securities Law Alert, February 2014 Feb 25, 2014 Federal Reserve Issues Final Regulations on Enhanced Prudential Standards for Foreign Banking Organizations Feb 20, 2014 Estate Planning Update Feb 19, 2014 Securities and Exchange Commission v. BankAtlantic Bancorp, Inc.: Some Guidance on MD&A’s “Known Trends or Uncertainties” Feb 18, 2014 Administrative Law Judge Temporarily Bars Chinese Affiliates of “Big Four” Auditing Firms From Practice Feb 11, 2014 SEC Institutes Administrative Proceedings Against KPMG For Auditor Independence Violations Feb 07, 2014 SEC Issues No-Action Letter Exempting M&A Brokers From Broker-Dealer Registration Requirements in Private M&A Transactions Feb 04, 2014 ISS Releases Governance QuickScore 2.0 and Invites Corporate Issuers to Verify Data Feb 04, 2014 Shareholder Activism in M&A Transactions Feb 03, 2014 Social Issues in Selected Recent Mergers and Acquisitions Transactions (February 2014) Jan 30, 2014 ISS Releases Its 2014 U.S. Proxy Voting Summary Guidelines Jan 30, 2014 Insurance Law Alert, January 2014 Jan 30, 2014 Securities Law Alert, January 2014 Jan 28, 2014 Duty to Disclose in SEC Reports Certain Penalties Imposed Under the Internal Revenue Code Jan 28, 2014 McLaughlin on Class Actions: Law and Practice (10th Edition 2013) Jan 23, 2014 Revised HSR Act Thresholds Jan 22, 2014 ISS Issues FAQs on Director Qualification Bylaws ...161162163164165166167168169170...