Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights October 26, 2018 Client Update The New Populist Movement in Antitrust: Could it Change the Status Quo and Does it Threaten American Businesses? In recent years, a new populist school of antitrust thinking has emerged, known as “Neo-Brandeisian” to its proponents... October 24, 2018 Client Update Update on Establishment of Single Antitrust Agency in China In March 2018, the Chinese government announced that the State Administration for Market Regulation (SAMR) would replace t... August 31, 2018 Client Update Second Circuit Holds the FCPA Does Not Extend to Non-U.S. Persons Absent U.S. Nexus On August 24, 2018, the Second Circuit held in United States v. Hoskins that a nonresident foreign national cannot be f... August 8, 2018 Articles & Books Getting the Deal Through: Financial Services Compliance Davis Polk partner Annette Nazareth served as Contributing Editor of the inaugural edition of Getting the Deal Through ?... July 19, 2018 Articles & Books Adviser Exams: Mitigating Enforcement Risks In an evolving securities landscape, examinations of investment advisers remain a key priority for the SEC’s Office of C... July 10, 2018 Client Update What Chinese Banks and Companies Should Know About DOJ Overseas Subpoenas and Asset Seizures Recent actions by the United States Department of Justice (“DOJ”) against Chinese companies in the technology sector m... July 6, 2018 Client Update SEC’s Proposed Amendments to Its Whistleblower Program May Increase Reporting of Potential Securities-Law Violations to the SEC On June 28, 2018, the Securities and Exchange Commission (“SEC”) voted to propose amendments to the rules governing it... July 5, 2018 Client Update In Amended Decision, U.S. Court of Appeals (Second Circuit) Leaves Open the Ability to Prosecute Insider Trading Absent Evidence of a “Meaningfully Close Personal Relationship” On June 25, 2018, a divided panel of the U.S. Court of Appeals for the Second Circuit issued an amended decision in United... July 5, 2018 Client Update SEC Issues Sanctions for Inadequate Perk Disclosure On July 2, 2018, the SEC issued an order criticizing an issuer’s disclosure of executive perquisites and requiring the i... July 2, 2018 Client Update New York’s Highest Court Holds That Three-Year Statute of Limitations Applies to Martin Act Claims On June 12, 2018, the New York Court of Appeals overruled longstanding Appellate Division precedent and held that fraud cl... Load More
October 26, 2018 Client Update The New Populist Movement in Antitrust: Could it Change the Status Quo and Does it Threaten American Businesses? In recent years, a new populist school of antitrust thinking has emerged, known as “Neo-Brandeisian” to its proponents...
October 24, 2018 Client Update Update on Establishment of Single Antitrust Agency in China In March 2018, the Chinese government announced that the State Administration for Market Regulation (SAMR) would replace t...
August 31, 2018 Client Update Second Circuit Holds the FCPA Does Not Extend to Non-U.S. Persons Absent U.S. Nexus On August 24, 2018, the Second Circuit held in United States v. Hoskins that a nonresident foreign national cannot be f...
August 8, 2018 Articles & Books Getting the Deal Through: Financial Services Compliance Davis Polk partner Annette Nazareth served as Contributing Editor of the inaugural edition of Getting the Deal Through ?...
July 19, 2018 Articles & Books Adviser Exams: Mitigating Enforcement Risks In an evolving securities landscape, examinations of investment advisers remain a key priority for the SEC’s Office of C...
July 10, 2018 Client Update What Chinese Banks and Companies Should Know About DOJ Overseas Subpoenas and Asset Seizures Recent actions by the United States Department of Justice (“DOJ”) against Chinese companies in the technology sector m...
July 6, 2018 Client Update SEC’s Proposed Amendments to Its Whistleblower Program May Increase Reporting of Potential Securities-Law Violations to the SEC On June 28, 2018, the Securities and Exchange Commission (“SEC”) voted to propose amendments to the rules governing it...
July 5, 2018 Client Update In Amended Decision, U.S. Court of Appeals (Second Circuit) Leaves Open the Ability to Prosecute Insider Trading Absent Evidence of a “Meaningfully Close Personal Relationship” On June 25, 2018, a divided panel of the U.S. Court of Appeals for the Second Circuit issued an amended decision in United...
July 5, 2018 Client Update SEC Issues Sanctions for Inadequate Perk Disclosure On July 2, 2018, the SEC issued an order criticizing an issuer’s disclosure of executive perquisites and requiring the i...
July 2, 2018 Client Update New York’s Highest Court Holds That Three-Year Statute of Limitations Applies to Martin Act Claims On June 12, 2018, the New York Court of Appeals overruled longstanding Appellate Division precedent and held that fraud cl...