Refine your search
Sort By Date Sector- Banks (11)
- Consumer goods & retail (2)
- Energy & infrastructure (5)
- Investment management (4)
- Government & public policy (3)
- Industrials (1)
- Insurance (3)
- Private equity (8)
- Real estate (1)
- Technology, media & telecoms (2)
- Transport & logistics (2)
- Results 1-10 of 58
-
Actualités M&A - Droit Boursier Avril 2013
23 May 2013PublicationThis newsletter deals with the main regulatory and case law issues that are of interest over the relevant period. Les actualités M&A - Droit Boursier couvrent les développements en matière de droit des sociétés et droit...
-
Russia Update: Legal and market developments in Russia - Winter/Spring 2013
16 May 2013PublicationWe launched Russia Update last year to provide clients with a single guide to major legal and market developments in Russia. In this periodical publication, we will alert you to key legal changes as well as news highlights from the business sectors which...
-
Actualités M&A - Droit Boursier Mars 2013
10 May 2013PublicationThis newsletter deals with the main regulatory and case law issues that are of interest over the relevant period. Les actualités M&A - Droit Boursier couvrent les développements en matière de droit des sociétés et droit...
-
Actualités M&A / Droit Boursier Février 2013
21 March 2013PublicationLes actualités M&A / Droit Boursier couvrent les développements en matière de droit des sociétés et droit boursier sur la période considérée. This newsletter deals with the main regulatory...
-
Corporate Update: Impact of the Financial Services Act 2012
20 March 2013PublicationFrom 1 April 2013 a new financial regulation framework will be operative in the UK. The Financial Services Authority (FSA) is being replaced by the Financial Conduct Authority (FCA) and the Prudential Regulatory Authority (PRA), the Bank of England is to have...
-
In Risk Alert to Registered Investment Advisers, SEC Identifies 'Significant Deficiencies' Involving Custody and Safety of Client Assets
7 March 2013PublicationOn March 4, 2013, the Office of Compliance Inspections and Examinations ("OCIE") of the Securities and Exchange Commission (the "SEC") issued a Risk Alert identifying "significant deficiencies" in compliance with Rule 206(4)-2 (the...
-
Actualités M&A/ Droit Boursier Janvier 2013
19 February 2013PublicationThis newsletter deals with the main regulatory and case law issues that are of interest over the relevant period. Les actualités M&A/Droit Boursier couvrent les développements en matière de droit des sociétés et droit...
-
London Stock Exchange publishes proposals for the creation of a High Growth Segment of its Main Market
13 February 2013PublicationOn 13 February 2013 the Exchange published its proposals for the creation of a new High Growth Segment, which will form part of its Main Market. The High Growth Segment will be aimed primarily at high growth, trading companies that intend in due course to seek...
-
The amended Securities Investment Funds Law - significant changes but more expected
28 January 2013PublicationOn 28 December 2012, China announced the amendment of its Securities Investment Funds Law which for the first time, regulates privately-placed securities investment funds. The Amended Law provides a safe harbour for private placements while also imposes...
-
Actualités M&A/ Droit Boursier Décembre 2012
25 January 2013PublicationLes actualités M&A / Droit Boursier couvrent les développements en matière de droit des sociétés et droit boursier sur la période considérée. This newsletter deals with the main regulatory...

