Displaying
30
Results
December 2012 |
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Cleary Gottlieb Mergers & Acquisitions and Corporate Governance Report |
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December 2012 |
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U.S. Regulation of the International Securities and Derivatives Markets |
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by Edward F. Greene, Alan L. Beller, Edward J. Rosen, Leslie N. Silverman, Daniel A. Braverman, Sebastian R. Sperber, Nicolas Grabar (Tenth Ed., Wolters Kluwer, 2012). |
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July 2012 |
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What More Can Be Done to Deter Violations of the Federal SEC Laws? |
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by David M. Becker, Texas Law Review, vol. 90, issue 7. |
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May 2012 |
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Cleary Gottlieb Mergers & Acquisitions and Corporate Governance Report |
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February 2012 |
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Cleary Gottlieb Mergers & Acquisitions and Corporate Governance Report |
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October 2011 |
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Cleary Gottlieb Mergers & Acquisitions and Corporate Governance Report |
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May 2011 |
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Have the Changes to the UK Listing Regime Been a Success? |
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by Raj S. Panasar and Stephen Glasper, Bloomberg UK Financial Services Law Journal (Bloomberg Finance L.P.). |
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January 2011 |
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Cleary Gottlieb Mergers & Acquisitions and Corporate Governance Report |
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July 19, 2010 |
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Fiduciary Duties, Broker-Dealers and Sophisticated Clients: A Mis-Match That Could Only Be Made in Washington |
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by Thomas J. Maloney, Paul R. St. Lawrence III and Angela F. Hamarich, Journal of Securities Law, Regulation and Compliance. |
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April 2010 |
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Investor Engagement in Europe in the Wake of the Shareholder Rights Directive Implementation |
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by Marco Scalera, Director Notes (The Conference Board). |
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March 2010 |
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An Analysis of the Walker Review of Corporate Governance in UK Banks and Other Financial Institutions |
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by Tihir Sarkar, Simon Jay and Garry Manley, The Banking Law Journal. |
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February 2010 |
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The OBO/NOBO Distinction in Beneficial Ownership: Implications for Shareowner Communications and Voting |
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by Alan L. Beller, Janet L. Fisher and Rebecca M. Tabb, white paper commissioned by the Council of Institutional Investors. |
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2010 |
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The New York Stock Exchange IPO Guide |
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by Nicolas Grabar and Sandra Flow, Caxton 2010. |
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November 30, 2009 |
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Say-on-Pay: Less May Be More |
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by Janet Fisher, Arthur Kohn and Katie Sykes, New York Law Journal. |
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February 2009 |
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Cleary Gottlieb Mergers & Acquisitions and Corporate Governance Report |
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November/December 2008 |
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New Rules on Italian Banks’ Organization and Corporate Governance |
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2008 |
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Advising Corporate Clients in Securities Enforcement Investigations |
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by Robin Bergen |
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August 4, 2008 |
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Reinventing the Securities Disclosure Regime: Online Questionnaires as Substitutes for Form-Based Filings |
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by Alan L. Beller and Joseph A. Grundfest |
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June 2008 |
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Treasury Proposes Changes to the Regulations Governing Exon-Florio "National Security" Reviews of Foreign Investments in the United States |
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by Paul D. Marquardt, W. Richard Bidstrup and Nathaniel F. Stankard |
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June 2008 |
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Wash Sales: Considerations in Grant Practices and Forced Sales to Avoid Causing Delay of Employee Loss Deductions |
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by Kathleen M. Emberger and Caroline F. Hayday |
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June 2008 |
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Cleary Gottlieb Mergers & Acquisitions and Corporate Governance Report |
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June 2008 |
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CNET and Office Depot: Precision Drafting Needed for Advance Notice Bylaws |
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by Daniel S. Sternberg and Matthew P. Salerno |
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January 2008 |
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Cleary Gottlieb Mergers & Acquisitions and Corporate Governance Report |
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September 2007 |
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Cleary Gottlieb Mergers & Acquisitions and Corporate Governance Report |
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March 2007 |
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Cleary Gottlieb Mergers & Acquisitions and Corporate Governance Report |
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December 2006 |
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Cleary Gottlieb Mergers & Acquisitions and Corporate Governance Report |
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September 2006 |
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Cleary Gottlieb Mergers & Acquisitions and Corporate Governance Report |
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June 2006 |
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Cleary Gottlieb Mergers & Acquisitions and Corporate Governance Report |
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March 2006 |
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Cleary Gottlieb Mergers & Acquisitions and Corporate Governance Report |
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2003 |
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The Sarbanes-Oxley Act: Analysis and Practice |
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Authors include Edward F. Greene, Leslie B. Silverman, David M. Becker, Edward J. Rosen, Janet L. Fisher, Daniel A. Braverman and Sebastian R. Sperber; New York, Aspen Publishers |
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