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22 Apr 2022, 5:33 am
Liu, Dechert LLP, on Saturday, April 16, 2022 Tags: Class actions, Corporate liability, Institutional Investors, Liability standards, Pension funds, Securities fraud, Securities litigation On the Audit Committee’s Agenda: What’s on the Horizon for 2022 Posted by Maureen Bujno, Krista Parsons and Kimia Clemente, Deloitte LLP, on Sunday, April 17, 2022 Tags: Audit committee, Audits, Boards of… [read post]
17 Apr 2022, 6:01 am
Posted by Maureen Bujno, Krista Parsons and Kimia Clemente, Deloitte LLP, on Sunday, April 17, 2022 Editor's Note: Maureen Bujno is Managing Director, Krista Parsons is Managing Director and Audit Committee Programs Leader, and Kimia Clemente is Senior Manager at at the Center for Board Effectiveness, Deloitte & Touche LLP. [read post]
17 Apr 2022, 6:01 am
Posted by Maureen Bujno, Krista Parsons and Kimia Clemente, Deloitte LLP, on Sunday, April 17, 2022 Editor's Note: Maureen Bujno is Managing Director, Krista Parsons is Managing Director and Audit Committee Programs Leader, and Kimia Clemente is Senior Manager at at the Center for Board Effectiveness, Deloitte & Touche LLP. [read post]
15 Apr 2022, 5:29 am
Tahyar, and Ning Chiu, Davis Polk & Wardwell LLP, on Saturday, April 9, 2022 Tags: Climate change, Disclosure, Environmental disclosure, ESG, Materiality, Risk disclosure, SEC, SEC rulemaking, Securities regulation, Sustainability Chancery Court Rules Target’s Pandemic Responses Did Not Breach Ordinary Course Covenant Posted by Gail Weinstein, Steven Epstein, and Philip Richter, Fried, Frank, Harris, Shriver & Jacobson… [read post]
15 Apr 2022, 5:29 am
Tahyar, and Ning Chiu, Davis Polk & Wardwell LLP, on Saturday, April 9, 2022 Tags: Climate change, Disclosure, Environmental disclosure, ESG, Materiality, Risk disclosure, SEC, SEC rulemaking, Securities regulation, Sustainability Chancery Court Rules Target’s Pandemic Responses Did Not Breach Ordinary Course Covenant Posted by Gail Weinstein, Steven Epstein, and Philip Richter, Fried, Frank, Harris, Shriver & Jacobson… [read post]
11 Apr 2022, 6:01 am
Posted by Natalie Cooper and Robert Lamm (Deloitte LLP), and Randi Val Morrison (Society for Corporate Governance), on Monday, April 11, 2022 Editor's Note: Natalie Cooper is Senior Manager and Robert Lamm is an independent senior advisor, both at the Center for Board Effectiveness, Deloitte LLP; and Randi Val Morrison is Vice President, Reporting & Member Support at the Society for Corporate Governance. [read post]
11 Apr 2022, 6:01 am
Posted by Natalie Cooper and Robert Lamm (Deloitte LLP), and Randi Val Morrison (Society for Corporate Governance), on Monday, April 11, 2022 Editor's Note: Natalie Cooper is Senior Manager and Robert Lamm is an independent senior advisor, both at the Center for Board Effectiveness, Deloitte LLP; and Randi Val Morrison is Vice President, Reporting & Member Support at the Society for Corporate Governance. [read post]
21 Mar 2022, 8:11 am by Dan Bressler
” “Deloitte & Touche LLP in 2015 paid $1.1 million to settle an SEC enforcement action claiming audit independence violations. [read post]
11 Mar 2022, 6:01 am
Llewellyn, Fenwick & West LLP, on Sunday, March 6, 2022 Tags: Biotech companies, Board composition, Boards of Directors, Disclosure, Diversity, ESG, Human capital, SASB SEC Proposes Amendments to Schedules 13D and 13G Posted by Curtis A. [read post]
4 Mar 2022, 6:01 am
Canellos, Milbank LLP, on Wednesday, March 2, 2022 Tags: Cybersecurity, Disclosure, Private equity, Private funds, SEC, SEC rulemaking, Securities regulation Is Economic Nationalism in Corporate Governance Always a Threat? [read post]
25 Feb 2022, 6:01 am
Greecher, and Brian Currie, Wilson Sonsini Goodrich & Rosati, on Friday, February 18, 2022 Tags: Accounting, Boards of Directors, Corporate forms, Corporate purpose, Delaware law, ESG, Incorporations, Public benefit corporations SEC Enforcement: Year in Review Posted by Harris Fischman, Paul, Weiss, Rifkind, Wharton & Garrison LLP, on Saturday, February 19, 2022 … [read post]
21 Feb 2022, 6:01 am
Posted by Krista Parsons (Deloitte) and Vanessa Teitelbaum (Center for Audit Quality), on Monday, February 21, 2022 Editor's Note: Krista Parsons is Managing Director and Audit Committee Programs Leader at the Center for Board Effectiveness, Deloitte & Touche LLP, and Vanessa Teitelbaum is Senior Director of Professional Practice at the Center for Audit Quality. [read post]
4 Feb 2022, 5:53 am
McClelland, McDermott, Will & Emery LLP, on Monday, January 31, 2022 Tags: Cybersecurity, Disclosure, Internal control, Risk, Risk assessment, Risk management, Risk oversight, SEC enforcement, Securities enforcement An Economic Substance Approach to SPAC Regulation and the Implications of MultiPlan for SEC Rulemaking Posted by Harald Halbhuber (NYU), on Monday, January 31, 2022 Tags: Information asymmetries, Investor… [read post]
1 Feb 2022, 6:02 am
Posted by Robert Lamm and Carey Oven, Deloitte LLP, on Tuesday, February 1, 2022 Editor's Note: Robert Lamm is an independent senior advisor at the Center for Board Effectiveness and Carey Oven is national managing partner at the Center for Board Effectiveness and chief talent officer of Deloitte Risk & Financial Advisory and Deloitte & Touche LLP. [read post]
14 Jan 2022, 5:57 am
FEC, Disclosure, ESG, Institutional Investors, Lobbying, Political spending, Reputation, Risk management Board Practices Quarterly: Diversity, Equity, Inclusion: One Year Later Posted by Natalie Cooper and Robert Lamm (Deloitte LLP), and Randi Val Morrison (Society for Corporate Governance), on Wednesday, January 12, 2022 Tags: Board composition, Board dynamics, Boards of… [read post]
12 Jan 2022, 5:50 am
Posted by Natalie Cooper and Robert Lamm (Deloitte LLP), and Randi Val Morrison (Society for Corporate Governance), on Wednesday, January 12, 2022 Editor's Note: Natalie Cooper is Senior Manager and Robert Lamm is an independent senior advisor, both at the Center for Board Effectiveness, Deloitte LLP; and Randi Val Morrison is Vice President, Reporting & Member Support at the Society for Corporate Governance. [read post]
2 Jan 2022, 4:00 am by Administrator
Supreme Advocacy LLP offers a weekly electronic newsletter, Supreme Advocacy Letter, to which you may subscribe. [read post]
24 Dec 2021, 6:26 am
Miller (University of Iowa), on Tuesday, December 21, 2021 Tags: Adverse effects, Cash flows, Delaware articles, Delaware cases, Delaware law, Merger litigation, Mergers & acquisitions, Securities litigation COP26 and the Role of Private Capital Posted by Jennie Morawetz, Paul Barker, and James Dolphin, Kirkland & Ellis LLP, on Tuesday, December 21, 2021 Tags: Climate change, ESG, International… [read post]
22 Dec 2021, 5:10 am
Posted by Dean Kingsley and Matt Solomon, Deloitte & Touche LLP, and Kristen Jaconi, University of Southern California, on Wednesday, December 22, 2021 Editor's Note: Dean Kingsley is Principal and Matt Solomon is Manager in Enterprise Risk Management at Deloitte & Touche LLP; and Kristen Jaconi is Associate Professor of the Practice in Accounting and Director of the Risk Management Program at the University of Southern California Leventhal School of… [read post]
12 Nov 2021, 6:07 am
Census Bureau), on Tuesday, November 9, 2021 Tags: Compensation disclosure, Compensation ratios, Firm performance, Incentives, Management, Pay for performance New DOL Proposal on ESG Investing and Fiduciary Exercise of Shareholder Rights Posted by Mary Alcock, Michael Albano, and Francesca Crooks, Cleary Gottlieb Steen & Hamilton LLP, on Tuesday, November 9, 2021 Tags: DOL, ERISA, ESG, Fiduciary rule, Institutional… [read post]