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Searching Content indexed under Compliance by Skadden, Arps, Slate, Meagher & Flom (UK) LLP ordered by Published Date Descending.
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The FCA's First Antitrust Decision: "When Market Chatter Becomes Collusion"
Financial Conduct Authority (FCA) officials who were involved in the FCA's first competition decision, Anti-Competitive Conduct in the Asset Management Sector, shared their views on the case at a Skadden-moderated Q&A session on July 2, 2019.
UK
16 Aug 2019
2
Director Independence And Oversight Obligation In Marchand v. Barnhill
On June 18, 2019, in Marchand v. Barnhill, the Delaware Supreme Court, in an opinion written by Chief Justice Leo E. Strine, Jr. on behalf of a unanimous court...
United States
27 Jun 2019
3
Hong Kong Regulatory Update – April 2019
This Hong Kong regulatory update provides an overview of key regulatory developments in the past three months relevant to companies listed (or planning to list)
Hong Kong
20 May 2019
4
SEC Modernizes And Simplifies Disclosure And Compliance Requirements
On March 20, 2019, the Securities and Exchange Commission (SEC) adopted rule changes, as mandated by the Fixing America's Surface Transportation Act (FAST Act),
UK
20 May 2019
5
SEC Staff Issues Interpretive Guidance On Board Diversity Disclosures
On February 6, 2019, the Division of Corporation Finance (Staff) of the Securities and Exchange Commission published new interpretive guidance regarding board diversity disclosures
United States
18 Feb 2019
6
Reminder: Review Equity Award Forms For Massachusetts Employees
Many employers make annual employee equity grants in late February and March.
UK
12 Feb 2019
7
The Wates Principles: Corporate Governance For Large Private Companies
On December 10, 2018, the Financial Reporting Council published the final version of the Wates Corporate Governance Principles for Large Private Companies ...
UK
5 Feb 2019
8
Foreign Investment Control Reforms In Europe
The geopolitical environment continues to drive reform of foreign investment rules in Europe,
Worldwide
23 Jan 2019
9
HHS OIG Closes 2018 With New Fraud Risk Indicator For Corporate Integrity Agreements
While the number of new corporate integrity agreements (CIAs) declined since last year, and was below the trailing five-year average, 2018 was an important year on the policy front for the Office of Inspector General.
UK
21 Jan 2019
10
Failure To Report Adverse Events Results In Criminal Misbranding Settlement And Individual Liability
On December 10, 2018, Olympus Medical Systems Corporation and a former quality manager at the company pleaded guilty to introducing misbranded medical devices into interstate commerce in violation of the Federal Food, Drug and Cosmetic Act.
UK
20 Dec 2018
11
Matters To Consider For The 2019 Annual Meeting And Reporting Season
Companies have important decisions to make as they prepare for the 2019 annual meeting and reporting season
United States
5 Dec 2018
12
Recent SEC No-Action, Re-Proposal For Security-Based Swaps Focus On Comparability With Other US Regulators
The SEC's recent actions suggest that the SEC is attempting to avoid that result.
United States
15 Nov 2018
13
Skadden Discusses Merger Reviews And Antitrust Inquiries In Case Of "No-Deal" Brexit
As the U.K.'s March 29, 2019, exit from the EU approaches, companies involved in merger reviews or antitrust investigations should pre-emptively consider the implications of a potential "no-deal" Brexit.
UK
7 Nov 2018
14
New Hampshire Moves To Require Corporations To Register As PACs; New York Codifies Placement Agent Ban
The New Hampshire Office of the Attorney General recently has indicated that, going forward, it will interpret state campaign finance law to require certain corporations making contributions in the state to register...
UK
5 Nov 2018
15
Analyzing Akorn: Delaware's First M&A Termination Under Material Adverse Effect
On October 1, 2018, Vice Chancellor J. Travis Laster of the Delaware Court of Chancery issued a 246-page post-trial opinion in Akorn, Inc. v. Fresenius Kabi AG, C.A. No. 2018-0300-JTL, that denied the seller's...
UK
23 Oct 2018
16
MSRB Notes Compliance Risks Of Issuer-Solicited Charitable Donations
Recently, the Municipal Securities Rulemaking Board (MSRB) noted in its quarterly compliance newsletter dated June 8, 2018 that it has "compliance concerns" regarding issuer-solicited charitable...
United States
16 Aug 2018
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