Search
Searching Content indexed under Corporate/Commercial Law by Jones Day ordered by Published Date Descending.
Links to Result pages
 
1 2 3 4 5 6 7 8 9 10 11 . . .  
>>Next
 
Title
Country
Organisation
Author
Date
1
SEC Proposes Exemption From Broker Registration For Certain Municipal Advisors
The U.S. Securities and Exchange Commission seeks comment on proposed exemption from broker registration for certain activities by municipal advisors.
United States
21 Oct 2019
2
Double Trouble: Court Advises Liquidators To Reject A$905 Million Proofs Of Debt
A liquidator can reject a "double proof" for what is, in substance, the same debt as another accepted proof of debt.
Australia
16 Oct 2019
3
Second Circuit Breathes New Life Into Conduct And Effects Test
The common thread that seems to explain the Second Circuit's divergent decisions in Brent Crude and Choi is the location of the alleged misconduct.
United States
16 Oct 2019
4
DOJ Offers Guidance On Unprecedented Arbitration In Merger Challenge
The United States Department of Justice Antitrust Division ("DOJ") has provided details on the unprecedented use of arbitration to resolve its challenge to the proposed acquisition of Aleris Corporation by Novelis Inc.
United States
15 Oct 2019
5
Helms-Burton Risks Continue For Companies With Investments And Operations In Cuba
Rick Puente and Chris Pace review recent case developments, discuss the appointment of new National Security Advisor Robert O'Brien, and talk about what parties possibly affected by Helms-Burton should expect next.
United States
15 Oct 2019
6
Australian IPOs And Takeovers: Liability Has Increased, Defences Are Eroded
Civil penalty liability now affects prospectuses and takeover documents, and the existing criminal and civil liability regimes for these documents have defences to liability.
Australia
10 Oct 2019
7
Australian Securities And Investments Commission's Half-Year Review Of Public M&A Activities: Trends, Issues And Reminders
The Australian Securities and Investments Commission ("ASIC") recently released its report on its corporate finance regulatory activities for the first half of 2019
Australia
7 Oct 2019
8
New Immediate Expensing Regulations Present Opportunities And Questions
The Treasury Department and Internal Revenue Service have issued final and proposed regulations (collectively, the new regulations)
United States
3 Oct 2019
9
SEC Takes First Step Toward Improving Accountability of Proxy Advisers
The Background: The Securities and Exchange Commission ("SEC") published guidance affecting proxy advisory firms and the investment advisers that rely on them as a follow-up to its November 2018 proxy process roundtable.
United States
23 Sep 2019
10
Favorable Net Operating Loss Utilization Rules Could Be Eliminated
Proposed regulations, if adopted, would impose substantial restrictions in many cases on a corporation's use of existing net operating
United States
23 Sep 2019
11
Jones Day Client Prince Abdullah Bin Mosa'ad Wins Long-Running Shareholder Dispute With Kevin McCabe Over The Ownership Of Sheffield United Football Club
Jones Day client His Royal Highness Prince Abdullah bin Mosa'ad bin Abdulaziz Al Sa'ud has succeeded in his claim to take full control of the English Premier League team Sheffield United Football Club
United States
23 Sep 2019
12
Where To Go With "Go Shops" In Australian M&A?
Go Shops remain a rarity in the Australian M&A market.
Australia
23 Sep 2019
13
Delaware Court Rules Appraisal Action Is A Covered "Securities Claim" Under D&O Policy
The Delaware Superior Court's Solera ruling lends considerable support to corporations seeking D&O insurance coverage for shareholder appraisal proceedings.
United States
19 Sep 2019
14
2018–2019 Australian Class Actions Review
This is Jones Day's fifth review of Australian class actions developments. The White Paper reviews the class actions that were commenced and settled in 2018–2019.
Australia
19 Sep 2019
15
Whistleblower Laws Add To Corporate Risk
Jones Day Partner Adam Salter, Partner-in-Charge of Jones Day's Perth Office who focuses his practice on Labor & Employment matters, outlines the challenges companies now face after sweeping
Australia
19 Sep 2019
16
FINRA Clarifies When Credit For Extraordinary Cooperation Will Be Awarded In Investigations
The Situation: In recent years, broker-dealers have been seeking further transparency from the Financial Industry Regulatory Authority ("FINRA")
United States
19 Sep 2019
17
SEC Enforcement In Financial Reporting And Disclosure: 2019 Mid-Year Update
We are pleased to present our annual mid-year update on financial reporting and issuer disclosure enforcement activity for 2019.
United States
18 Sep 2019
18
Germany's "Corporate Sanctions Act": The Path To Corporate Criminal Liability
On August 22, 2019, the German Ministry of Justice and Consumer Protection presented the draft Corporate Sanctions Act ("CSA"), a bill that would establish corporate criminal liability in Germany.
Germany
18 Sep 2019
19
OFAC Dramatically Expands Reporting Obligations Regarding Rejected Transactions; Comments Due By July 22
Ambiguous, undefined terms create uncertainty and confusion, including whether owned or controlled subsidiaries of U.S. companies outside the United States are subject to this reporting requirement.
United States
16 Sep 2019
20
Managing Legal Risks For ESG Disclosures Under U.S. Law
Whether on their own initiative or in response to pressure from regulators, consumers, or activist shareholders, many issuers are disclosing more and more about their environmental, social
United States
16 Sep 2019
Links to Result pages
 
1 2 3 4 5 6 7 8 9 10 11 . . .  
>>Next