公司治理

早在《沙宾-奥克斯雷法则》将公司治理变为焦点之前,佳利律师事务所便开始在这一领域向客户提供咨询。本所律师在诸多方面拥有广泛而深入的经验,包括指导客户适应不断变化的美国及海外监管和董事会运作、董事责任及股东关系的最佳实践,以及这些标准在特定商业行为(无论是证券发行、并购交易、内部调查或股东权益活动人士动议,包括代理权争夺)环境下的实际应用。


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What Others Say About Our Practice
Go-To Law Firm for Corporate
Corporate Counsel (2011)

“The team at Cleary is often at the cutting edge of legal developments in the securities area. It is seen as highly competent in its regulatory advice, corporate governance advice and ability to handle complex investigations and enforcement actions. … ‘I find the lawyers to be pragmatic, extremely responsive and deeply experienced in SEC matters.’”
Chambers USA (2011)
“‘Wonderfully experienced – they combine decades of securities law experience both as regulatory and transactional practitioners and are rightly considered the leading experts for securities law in the USA.’”
Chambers Global (2008)

“The evolution of a ‘strong, cohesive culture’ ensures that the firm…benefits from [its] deep grounding in securities and corporate governance issues.”
Chambers USA (2006)

“A magnet for former senior SEC personnel.”
Securities Law 360 (2006)

“If the best offense is a good defense, then the U.S. Securities and Exchange Commission clearly sees international law firm Cleary Gottlieb Steen & Hamilton LLP as both a formidable adversary and a fertile ground for top-notch talent.”
Securities Law Bulletin (2005)