Search for: "Steen v. United States" Results 1 - 20 of 50
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30 May 2024, 9:01 pm by renholding
On May 23, 2024, the United States Supreme Court unanimously held in Coinbase, Inc. v. [read post]
9 Apr 2024, 9:01 pm by renholding
Goldblatt denied motions filed by multiemployer pension funds to arbitrate debtors’ objections to pension withdrawal liability claims in the United States Bankruptcy Court for the District of Delaware. [read post]
10 Feb 2023, 7:04 am
Harris, and Claire Schupmann, Cleary Gottlieb Steen & Hamilton LLP, on Thursday, February 9, 2023 Tags: 13D, Corporate governance, ESG, SEC, SEC enforcement, Shareholder activism [read post]
10 Feb 2023, 7:04 am
Harris, and Claire Schupmann, Cleary Gottlieb Steen & Hamilton LLP, on Thursday, February 9, 2023 Tags: 13D, Corporate governance, ESG, SEC, SEC enforcement, Shareholder activism [read post]
16 Jul 2022, 1:00 am by David Pocklington
In his ruling on A & Anor, R (on the application of) v Secretary of State for Health [2014] EWHC 1364 (Admin) Mr Justice King held that the claimant, whose ordinary/usual residence was in Northern Ireland, was not entitled to access in England abortion services free of charge. (13 May 2014). [read post]
12 Mar 2020, 6:45 am
The decision, if broadly followed by other courts, would threaten foreign issuers with potentially expansive securities liability in U.S. courts, even where those issuers had little involvement with the issuance of securities in the United States and even with respect to shares listed only on foreign exchanges, notwithstanding the Supreme Court’s attempt to limit such liability in Morrison v. [read post]
15 Nov 2019, 6:17 am
Securities and Exchange Commission, on Wednesday, November 13, 2019 Tags: Capital markets, Institutional Investors, IPOs, Long-Term value, Private firms, Public firms, Retail investors 2020 Policy Guidelines—United States Posted by Courteney Keatinge and Kern McPherson, Glass, Lewis & Co., on Wednesday, November 13, 2019 Tags: Audit committee, Board performance, Boards of Directors, Compensation… [read post]
5 Apr 2019, 5:58 am
Pruitt, Jones Day, on Tuesday, April 2, 2019 Tags: Broker-dealers, Conflicts of interest, Disclosure, Investment advisers, Investor protection, Mutual funds, Reporting regulation, Retail investors, SEC, SEC enforcement FCPA and the Commodity Exchange Act: A New Relationship Posted by David Yeres, David DiBari, and Robert Houck, Clifford Chance US LLP, on Tuesday, April 2, 2019 Tags: Anti-corruption, CFTC, Commodity… [read post]
1 Feb 2019, 6:05 am
Emmerich and Robin Panovka, Wachtell, Lipton, Rosen & Katz, on Wednesday, January 30, 2019 Tags: Antitrust, CFIUS, Cross-border transactions, Disclosure, Distressed companies, International governance, Merger litigation, Mergers & acquisitions, SEC, Securities regulation, Taxation Corporations are People Too (And They Should Act Like It) Posted by Kent Greenfield (Boston College), on Wednesday, January 30, 2019 … [read post]
30 Nov 2018, 6:06 am
Kaplan (University of Chicago), on Monday, November 26, 2018 Tags: Conflicts of interest, Fund managers, Fund performance, Incentives, Misreporting, Mutual funds, Peer groups, Private equity, Reporting regulation, Reputation, Signaling, Venture capital firms Shareholder Voting in the United States: Trends and Statistics on the 2015-2018 Proxy Season Posted by Matteo Tonello, The Conference Board, Inc.,… [read post]
16 Nov 2018, 5:45 am
Nelson (University of Houston), and Roberto Tallarita (Harvard Law School), on Wednesday, November 14, 2018 Tags: Accountability, Citizens United v. [read post]
17 Sep 2018, 6:19 am
On August 24, 2018, in a rare, 73-page decision interpreting the Foreign Corrupt Practices Act (“FCPA”), the Second Circuit in United States v. [read post]
14 Sep 2018, 6:12 am
(Delaware Supreme Court and Harvard Law School), on Wednesday, September 12, 2018 Tags: Campaign finance, Citizens United v. [read post]