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29 Apr 2013  Governance & Securities Law Focus: Asia Edition, April 2013
9 Apr 2013  Governance & Securities Law Focus: Europe Edition, April 2013
18 Mar 2013  New Opportunities for Pension Asset Pooling in Germany
19 Feb 2013  European Commission Proposes Rules for 11 Member State Financial Transaction Tax
22 Jan 2013  Governance & Securities Law Focus: Europe Edition, January 2013
Dec 2012  Current Developments on the Emergency Arbitrator
18 Oct 2012  Implementation of the Basel III Framework: Comparison of US and EU Proposals
10 Oct 2012  Update: German Government Adopts Draft Legislation to Regulate High Frequency Traders and Algorithmic Trading Strategies on German Trading Venues
Sep 2012  The New German Mediation Act
24 Aug 2012  Update – New Rules Opening the Bond Market to Italian Non-Listed Companies Approved in Final Form: A Move in the Right Direction
22 Aug 2012  The Italian Legislature Confirmed the Reform of Italian Bankruptcy Law: Highlights on Refinements and Clarifications to the New Rules on Restructurings
2 August 2012  “Speed Limit” for High Frequency Traders
26 Jul 2012  Governance & Securities Law Focus: Europe Edition, July 2012
10 Jul 2012  'Real Economy' in the Focus of Financial Regulation
10 Jul 2012  New Rules on Restructurings: Italian Bankruptcy Law Increasingly Aligned to U.S. Chapter 11
5 Jul 2012  The Eurozone. What Do You Really Need to Know?
28 Jun 2012  New Rules Open Bond Markets to Italian Non-Listed Companies – Open Season for High-Yield Offerings?
8 May 2012  2011 Bankruptcy Law: The Year in Review
2 May 2012  Overview of the Effects of German Financial Regulation on Companies Outside the Financial Sector
26 Mar 2012  Newsletter M&A and Corporate Law March 2012
14 Mar 2012  Foreign Issuers - Two Noteworthy Items
2 Mar 2012  Greek Restructuring: Why Isn't It (Yet) a Credit Event?
01 Mar 2012  Reform of In-Court Restructurings in Germany
1 Feb 2012  New German Long and Short Disclosure Regimes
30 Jan 2012  The German Federal Supreme Court (Bundesgerichtshof, BGH) specifies diligence requirements for management and supervisory boards relying on external legal advice
9 Jan 2012  European Sovereign Debt Crisis: SEC Staff Publishes Disclosure Guidance Regarding European Sovereign Debt Exposures
27 Dec 2011  Sovereign Debt Crisis Causes Germany to Revive and Amend its Phased-Out State Aid Legislation for Financial Institutions
21 Dec 2011  Twice as MAD: Legislative Proposals to Amend the European Regulation of Market Abuse
21 Dec 2011  The 2012 Revisions to the ICC Rules
21 Dec 2011  Newsletter M&A and Corporate Law December 2011
12 Dec 2011  European Regulation of Fund Managers: ESMA’s Final “Level 2” Advice Published
29 Nov 2011  German Anti-Treaty-Shopping Rule Amended: Substance Requirements Modified in Response to EU Infringement Procedure
21 Oct 2011  German Dividend Withholding Tax violates EC Law
19 Oct 2011  Newsletter M&A and Corporate Law October 2011
3 Oct 2011  Euro Rescue Package Backed by German Federal Constitutional Court – German Parliament Approves Plan to Boost the Lending Capacity of the Eurozone Bailout Fund (EFSF)
28 Jul 2011  Newsletter M&A and Corporate Law July 2011 - Germany
9 May 2011  2010 Bankruptcy Law: The Year in Review
30 Mar 2011  The New Basel III Framework: Implications for Banking Organizations
20 Jan 2011  Shearman & Sterling's Recent Trends and Patterns in the Enforcement of the Foreign Corrupt Practices Act (FCPA) / FCPA Digest
23 Jun 2010  Review of the UK Takeover Code
23 Mar 2010  Shearman & Sterling—Recent Trends and Patterns in the Enforcement of the Foreign Corrupt Practices Act (FCPA) / Foreign Corrupt Practices Act (FCPA) Digest
29 Oct 2009  Recent Trends and Patterns in FCPA Enforcement
25 Sept 2009  Update on the European Directive to Regulate Alternative Investment Fund Managers
24 Sep 2009  New Regime for the Regulation of Payment Services in Europe
23 Jun 2009  U.S. Financial Regulatory Reform – Investment Advisory Proposals
22 Jun 2009  European Commission adopts Recommendations on Remuneration for Financial Institutions and Executives of Listed Companies
5 Mar 2009  Recent Trends and Patterns in FCPA Enforcement
27 Feb 2009  Governmental Assistance to the Financial Sector: an Overview of the Global Responses (v5)
5 Jan 2009  Opening the Vault: Banking Sector Liberalization in India
18 Dec 2008  Siemens Agrees to Largest Settlement in History of FCPA
17 Dec 2008  Potential restrictions on foreign investment in German companies: The reform of foreign trade legislation in Germany
8 Sep 2008  German Risk Limitation Act Enacted
13 Feb 2008  Recent Trends and Patterns in FCPA Enforcement
5 Apr 2007  G-REITs - Client Publication
3 Oct 2006  Global Diversity Brochure
18 Jan 2006  New Law Amends Tax Rules Affecting Deferred Compensation Plans with Offshore Trusts
1 Oct 2005  Recent Trends and Patterns in FCPA Enforcement
21 Jul 2005  SEC Adopts Streamlined Procedures for Delisting Securities
29 Jun 2005  SEC Adopts Securities Act Reform Proposals
22 Jun 2005  SEC to vote June 29 on Securities Act Reform
19 May 2005  SEC Staff Comment Letters and Filer Responses Available on EDGAR
18 May 2005  SEC Staff and PCAOB Issue Guidance on Internal Control Implementation
2 May 2005  Tyson Foods and Former Tyson Chairman Settle SEC Action
29 Apr 2005  Supreme Court Rejects Price Inflation Theory of Loss Causation in Dura
20 Apr 2005  SEC Amends Form 20-F to Facilitate Transition to IFRS
14 Apr 2005  SEC Roundtable on Internal Control Reporting PCAOB to Issue Guidance By May 16
14 Apr 2005  SEC Issues Guidance on Regulation M and IPO Allocations
6 Apr 2005  PCAOB Proposes to Allow Auditors To Report on the Elimination of a Material Weakness
1 Apr 2005  Recent Trends and Patterns in FCPA Enforcement
28 Mar 2005  M&A Practice Newsletter “M&A Focus”
28 Mar 2005  SEC Settled First FD Enforcement Action for Reaffirmation of Earnings Guidance
17 Mar 2005  SEC Highlights Potential Liability for Misleading Contractual Provisions in SEC Disclosure Documents
7 Mar 2005  SEC Staff Issues Annual Report Reminders
3 Mar 2005  SEC Grants One Year 404 Extension to Non-Accelerated Filers and Foreign Private Issuers
1 Feb 2005  Nasdaq Proposed Rule Change Affecting Foreign Private issuers
(Became immediately effective March 3, 2005)
1 Jan 2005  Securities Offering Reform Proposals
14 Dec 2004  M&A Practice Group Newsletter “M&A Focus”
7 Dec 2004  NYSE Amends Its Corporate Governance Rules
6 Dec 2004  SEC Acts to Ease 404 Deadline for Smaller Accelerated Filers
18 Nov 2004  SEC Delays for One Year the Accelerated Periodic Report Deadlines
27 Oct 2004  SEC Unveils Securities Act Reform Proposals
14 Oct 2004  SEC Proposed Amendments to Regulation M
27 Sep 2004  NYSE Proposes to Amend Its Corporate Governance Rules
27 Sep 2004  M&A Practice Group Newsletter “M&A Focus”
23 Aug 2004  Reminder: SEC Amendments Expanding and Accelerating Form 8-K Filings Become Effective on August 23, 2004
1 Jul 2004  SEC To Make Staff Comment Letters and Filer Responses Available to Public
1 Jul 2004  SEC and PCAOB Issue Internal Controls Guidance
16 Apr 2004  SEC Expands and Accelerates Form 8-K Filing
30 Mar 2004  SEC Proposes Amendments to Form 20-F to Facilitate Transition to International Financial Reporting Standards
17 Mar 2004  SEC Roundtable on Proposed Security Holder Director Nomination Rules
11 Mar 2004  SEC Votes to Adopt Rules to Expand and Accelerate Form 8-K Filings
26 Feb 2004  SEC Extends Internal Control Reports Compliance Date for Certain Filers (Calendar Year-End Companies Unaffected)
16 Jan 2004  SEC Issues MD&A Interpretive Guidance
22 Dec 2003  The International Comparative Legal Guide to: International Arbitration 2004 -A Practical Insight to Cross-Border International Arbitration Work-
22 Dec 2003  SEC Issues New MD&A Interpretive Release
1 Dec 2003  SEC Adopts Disclosure Rules Relating to Director Nominations and Security Holder Communications with the Board
1 Dec 2003  SEC Adopts Amendments to Safe Harbor Rule Governing Issuer Share Repurchases and Adopts New Issuer Share Repurchase Disclosure Requirements
5 Nov 2003  SEC Approves NYSE and NASDAQ Corporate Governance Standards
5 Nov 2003  NASDAQ Further Revises its Corporate Governance Proposals
3 Nov 2003  SEC Proposes Rules Allowing Shareholders Access to the Company’s Proxy
1 Nov 2003  The EU Prospectus Directive –Home Member State for Non-EU Users-
15 Oct 2003  NYSE Revises Proposals on Corporate Governance
8 Oct 2003  SEC Open Meeting: SEC Votes to Propose Amendments to Increase Shareholder Access to the Proxy
1 Sep 2003  The European Union Prospectus Directive
18 Aug 2003  SEC Proposes Expanded Disclosure Relating to Director Nominations and Stockholder Communications with the Board
22 Jul 2003  SEC Releases Staff Report on Shareholder Access to the Proxy
19 Jun 2003  SEC Adopts Final Rules Relating to Internal Control Reports
29 May 2003  SEC Adopts Final Rule on Improper Influence on the Conduct of Audits
6 May 2003  Update: Nasdaq Corporate Governance Rule Proposals
14 Apr 2003  SEC Adopts Final Rule on Requirements for Listed Company Audit Committees
1 Apr 2003  NYSE Revises Proposals on Director Independence
7 Feb 2003  SEC Adopts Final Auditor Independence Rules
4 Feb 2003  SEC Adopts Standards of Professional Conduct for Attorneys
3 Feb 2003  SEC Adopts Final Rules Relating to Disclosure of Off-Balance Sheet Arrangements and Aggregate Contractual Obligations
30 Jan 2003  SEC Adopts Rules Requiring Disclosure Relating to Audit Committee Financial Experts and Codes of Ethics
27 Jan 2003  SEC Adopts Final Rules Relating to Use of Non-GAAP Financial Measures
10 Jan 2003  SEC Proposed Rule: Listing Standards Relating to Audit Committees under Sarbanes-Oxley
8 Jan 2003  SEC Open Meeting: SEC Votes to Propose Rules for Audit Committees Under Sarbanes-Oxley

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