Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights December 2, 2019 Client Update ISS Releases Preliminary Updates to 2020 Compensation-Related Policies As we previously discussed, ISS recently released its U.S. Preliminary Compensation Policies FAQ, which provides intereste... November 26, 2019 Client Update Preparing Your 2019 Form 20-F This memorandum highlights some considerations for the preparation of your 2019 annual report on Form 20-F. As in previous... November 26, 2019 Client Update UK Merger Control - CMA Interventionism on the Rise The UK operates a voluntary merger control regime. In addition, the European Commission (EC) operates a ‘one-stop shop?... November 15, 2019 Client Update Chamber of Commerce Releases Best Practices for Voluntary ESG Disclosure The U.S. Chamber of Commerce released this month a set of ESG voluntary reporting best practices. By releasing its best p... November 14, 2019 Client Update Recent Delaware Cases Reinforce Director Accountability for Risk Oversight Two recent Delaware decisions have made clear that courts will not give business judgment rule deference where boards of d... November 12, 2019 Client Update SEC Proposed Rules to Regulate Proxy Advisory Firms and Shareholder Proposals On November 5, 2019, at an open meeting the SEC voted (3 to 2) to propose amendments to the proxy rules. The proposed amen... November 6, 2019 Client Update SEC Proposes to Raise Shareholder Proposal Eligibility Thresholds and Regulate Proxy Advisory Services At an open meeting yesterday, the Securities and Exchange Commission proposed substantial amendments to the shareholder pr... October 22, 2019 Client Update SEC Division of Corporation Finance Addresses Ordinary Business Basis for Shareholder Proposal Exclusion On October 16, 2019, the SEC Division of Corporation Finance issued Staff Legal Bulletin No. 14K. SLB 14K outlines the ana... September 18, 2019 Client Update SEC Issues Guidance Regarding Proxy Voting Responsibilities of Investment Advisers On August 21, 2019, the SEC issued guidance to assist investment advisers in fulfilling their proxy voting responsibilitie... September 13, 2019 Articles & Books SEC’s Shareholder Proposal Change May Muddle 2020 Proxies On Sept. 6, the U.S. Securities and Exchange Commission staff announced a significant change to its policy on issuing no-a... Load More
December 2, 2019 Client Update ISS Releases Preliminary Updates to 2020 Compensation-Related Policies As we previously discussed, ISS recently released its U.S. Preliminary Compensation Policies FAQ, which provides intereste...
November 26, 2019 Client Update Preparing Your 2019 Form 20-F This memorandum highlights some considerations for the preparation of your 2019 annual report on Form 20-F. As in previous...
November 26, 2019 Client Update UK Merger Control - CMA Interventionism on the Rise The UK operates a voluntary merger control regime. In addition, the European Commission (EC) operates a ‘one-stop shop?...
November 15, 2019 Client Update Chamber of Commerce Releases Best Practices for Voluntary ESG Disclosure The U.S. Chamber of Commerce released this month a set of ESG voluntary reporting best practices. By releasing its best p...
November 14, 2019 Client Update Recent Delaware Cases Reinforce Director Accountability for Risk Oversight Two recent Delaware decisions have made clear that courts will not give business judgment rule deference where boards of d...
November 12, 2019 Client Update SEC Proposed Rules to Regulate Proxy Advisory Firms and Shareholder Proposals On November 5, 2019, at an open meeting the SEC voted (3 to 2) to propose amendments to the proxy rules. The proposed amen...
November 6, 2019 Client Update SEC Proposes to Raise Shareholder Proposal Eligibility Thresholds and Regulate Proxy Advisory Services At an open meeting yesterday, the Securities and Exchange Commission proposed substantial amendments to the shareholder pr...
October 22, 2019 Client Update SEC Division of Corporation Finance Addresses Ordinary Business Basis for Shareholder Proposal Exclusion On October 16, 2019, the SEC Division of Corporation Finance issued Staff Legal Bulletin No. 14K. SLB 14K outlines the ana...
September 18, 2019 Client Update SEC Issues Guidance Regarding Proxy Voting Responsibilities of Investment Advisers On August 21, 2019, the SEC issued guidance to assist investment advisers in fulfilling their proxy voting responsibilitie...
September 13, 2019 Articles & Books SEC’s Shareholder Proposal Change May Muddle 2020 Proxies On Sept. 6, the U.S. Securities and Exchange Commission staff announced a significant change to its policy on issuing no-a...