Search for: "William Cleary" Results 61 - 80 of 150
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1 Dec 2017, 6:17 am
Brewer, Hunton & Williams LLP, on Thursday, November 30, 2017 Tags: Appraisal rights, Boards of Directors, Delaware law, Dual-class stock, Fiduciary duties, Mergers & acquisitions, Rule 14a-8, Shareholder meetings, Shareholder proposals, Shareholder voting, Short-form merger [read post]
22 Sep 2017, 6:03 am
William McNabb III and Glenn Booraem, Vanguard, on Monday, September 18, 2017 Tags: Boards of Directors, Climate change, Diversity, Engagement, Executive Compensation, Institutional Investors, Institutional voting, Long-Term value, Oversight, Risk oversight, Shareholder meetings, Stewardship, Vanguard Is There Hope for Change? [read post]
15 Sep 2017, 6:10 am
Posted by William Magnuson, Texas A&M Law School, on Wednesday, September 13, 2017 Tags: Algorithmic trading, Banks, Bitcoin, Crowdfunding, Dodd-Frank Act, Financial crisis, Financial institutions, Financial regulation, Financial reporting, Financial technology, Innovation, International governance, Market efficiency, Moral hazard, SIFIs, Systemic risk OCC Stakes Out a Lead Role in Establishing New… [read post]
28 Apr 2017, 6:02 am
Principles for Financial Regulatory Reform Posted by William Dudley, Federal Reserve Bank of New York, on Friday, April 21, 2017 Tags: Bankruptcy, Banks, Capital requirements, Dodd-Frank Act, Federal Reserve, Financial crisis, Financial institutions, Financial reform, Financial regulation, Liquidity, Recovery & resolution plans, SIFIs, Stress tests, Systemic risk, Too big to fail Corporate Governance Posted by Martin Lipton, Wachtell, Lipton, Rosen & Katz, on Friday, April 21,… [read post]
13 Apr 2017, 3:00 am by John Jenkins
  This Cleary memo surveys post-Williams/ETE mergers in order to assess how dealmakers have addressed the “deal certainty” issues that situation created. [read post]
7 Apr 2017, 6:00 am
Kohn, Cleary Gottlieb Steen & Hamilton LLP, on Tuesday, April 4, 2017 Tags: Boards of Directors, Delaware law, Disclosure, Executive Compensation, Fiduciary duties, Hedge funds, Institutional Investors, Management, Proxy access, Settlements, Shareholder activism, Shareholder voting Regulating Robo Advice Across the Financial Services Industry Posted by Tom Baker, University of Pennsylvania, and Benedict C.G. [read post]
17 Mar 2017, 6:00 am
Solomon and Elizabeth (Lisa) Vicens, Cleary Gottlieb Steen & Hamilton LLP, on Monday, March 13, 2017 Tags: SEC, SEC enforcement, SEC investigations, Securities enforcement, Securities regulation Defusing the Antitrust Threat to Institutional Investor Involvement in Corporate Governance Posted by Edward B. [read post]
22 Jan 2017, 8:25 am by admin
Speakers include: William Allan, Member, Competition Appeal Tribunal, London; Lord David Currie, Chairman, Competition and Markets Authority, London; Frédéric Jenny, Chairman, OECD Competition Committee | Professor, ESSEC, Paris; Miguel de la Mano, Managing Director, Compass Lexecon Europe, Barcelona/Brussels; Maurits Dolmans, Partner, Cleary Gottlieb Steen & Hamilton, London/Brussels; Ariel Ezrachi, Slaughter and May Professor of Competition Law,… [read post]
23 Dec 2016, 1:00 am
Krimminger, Cleary Gottlieb Steen & Hamilton LLP, on Saturday, December 17, 2016 Tags: Banks, Broker-dealers, Capital requirements, EU, Europe, Financial institutions, Financial regulation, Foreign banks, International governance, Liquidity, Recovery & resolution plans, Systemic risk CFPB Guidance for Oversight Over Sales and Other Incentives Posted by Brad S. [read post]
7 Oct 2016, 6:01 am
Klingsberg, Cleary Gottlieb Steen & Hamilton LLP, on Thursday, October 6, 2016 Tags: Boards of Directors, Caremark merger, Conflicts of interest, D&O insurance, Delaware cases, Delaware law,Director liability, Duty of loyalty, Fiduciary duties, Indemnification, Merger litigation, Mergers & acquisitions, Shareholder suits [read post]
13 May 2016, 6:13 am
Kotler, Cleary Gottlieb Steen & Hamilton LLP, on Wednesday, May 11, 2016 Tags: Advanced notice, Business judgment rule, Change in control, Conflicts of interest, Delaware cases, Delaware law,Director liability, Disclosure, Duty of good faith, Financial advisers, Liability standards, Merger litigation, Mergers & acquisitions, Negligence, Securities damages, Shareholder suits Disclosure in the Digital Age Posted by Kara M Stein, U.S. [read post]
3 Jun 2015, 3:10 am
Robert Cryer, The ICC and its Relationship to Non-States Parties Dov Jacobs, The Frog that Wanted to Be an Ox: The ICCs Approach to Immunities Paul Seils, Putting Complementarity in its Place Susana SáCouto & Katherine Cleary Thompson, Investigative Management, Strategies, and Techniques of the ICCs OTP Fabricio Guariglia & Emeric Rogier, The Selection of Situations and Cases by the OTP of the ICC William Schabas, Selecting Situations and Cases Jenia Iontcheva… [read post]
28 Apr 2015, 3:43 am by Broc Romanek
” You’ve read before in this blog about Cleary Gottlieb’s Julie Yip-Williams (see her blog about her battle with cancer). [read post]
28 Nov 2014, 1:24 pm by Howard Knopf
The term of past Chair, retired Judge William Vancise from Saskatchewan, expired on May 13, 2014. [read post]
15 Sep 2014, 6:45 pm by Nate Russell
 Not so certain there, William (or Francis!). [read post]
25 Apr 2014, 1:45 am
 It was the year of Williams & Wilkins v U.S. relating to the whether the photocopying machine would put the publishing industry out of business. [read post]
10 Sep 2013, 6:03 am by Staci Zaretsky
Speaking of which, Troutman Sanders just reeled in three attorneys from Hunton & Williams. [read post]