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30 Jul 2023, 9:05 pm by renholding
It is based on their new chapter, “Corporate Purpose,” forthcoming in the Oxford Handbook of Corporate Law and Governance (Jeffrey N. [read post]
2 Aug 2012, 10:31 am by James Hamilton
 According to earlier testimony of Jeffrey Hatfield, for the Biotechnology Industry Organization, the measure would raise the minimum public float requirement for accelerated filers to $250 million, classifying companies with public floats below that level as non-accelerated filers. [read post]
13 May 2016, 6:13 am
Davidson, Fordham Law School, on Friday, May 6, 2016 Tags: Bailouts, Financial crisis, Financial regulation, Investor protection, Legal systems, Moral hazard, Ownership, Property rights, Public interest, Securities regulation, Signaling, Systemic risk, Too big to fail, Transparency In re Kenneth Cole: Business Judgment Review of Controlling Stockholder Mergers Posted by William Savitt, Wachtell, Lipton, Rosen & Katz, on Saturday, May 7, 2016 Tags: Business judgment rule, Buyouts,… [read post]
23 Jul 2010, 5:45 am by Jon Hyman
– from Going Concern Motorola sues Huawei and several former employees for stealing wireless trade secrets – from Engadget Mobile Minimizing the Risk that a New Hire Will Lead to Trade Secret Litigation: Some Simple Preventive Steps – from Trade Secrets and Noncompete Blog FusionStorm and Employees Get Hit With $10 Million Trade Secret Theft Verdict – from Trade Secrets Blog Discrimination After the investigation: what to do when… [read post]
5 Mar 2024, 3:11 pm by Geoff Schweller
The Dodd-Frank Act, which established the SEC Whistleblower Program, extended whistleblower provisions to the FCPA. [read post]
1 Jun 2018, 6:07 am
Kim, Wachtell, Lipton, Rosen & Katz, on Tuesday, May 29, 2018 Tags: Banks, Capital requirements, Dodd-Frank Act, Federal Reserve, Financial institutions, Financial regulation, Liquidity, Mergers & acquisitions, Systemic risk, Volcker Rule China as a “National Strategic Buyer”: Towards a Multilateral Regime for Cross-Border M&A Posted by Jeffrey N. [read post]
2 Jan 2014, 4:28 pm
Ikenson and Scott Lincicome, “Beyond Exports: A Better Case for Free Trade,” Cato Institute Free Trade Bulletin No. 43, January 31, 2011: http://www.cato.org/publications/free-trade-bulletin/beyond-exports-better-case-free-tradeScott Lincicome, “America’s Horrible, No Good, Messed-Up Trade Policy (and How to Fix It),” The Federalist, October 31, 2013: http://thefederalist.com/2013/10/31/americas-horrible-good-messed-trade-policy-fix/Jeffrey Jones,… [read post]
2 Jan 2014, 4:28 pm
Ikenson and Scott Lincicome, “Beyond Exports: A Better Case for Free Trade,” Cato Institute Free Trade Bulletin No. 43, January 31, 2011: http://www.cato.org/publications/free-trade-bulletin/beyond-exports-better-case-free-tradeScott Lincicome, “America’s Horrible, No Good, Messed-Up Trade Policy (and How to Fix It),” The Federalist, October 31, 2013: http://thefederalist.com/2013/10/31/americas-horrible-good-messed-trade-policy-fix/Jeffrey Jones,… [read post]
10 Sep 2020, 9:05 pm by Joshua Burd
In an article in the Yale Journal on Regulation, John Armour, Jeffrey Gordon, and Geeyoung Min found that stock-based compensation creates incentives for corporate managers to avoid implementing regulatory compliance programs. [read post]
15 Dec 2017, 6:13 am
Haas, Hunton & Williams LLP , on Monday, December 11, 2017 Tags: Boards of Directors, CFTC, Compliance and disclosure interpretation, Compliance officer, Delaware law, Derivative suits, Director liability, Disclosure, Dodd-Frank Act, Duty of loyalty, Fiduciary duties, Liability standards, Regulation 5.16, SEC, Securities enforcement, Securities litigation, Securities regulation, Shareholder… [read post]
19 Nov 2021, 9:03 pm by Karis Stephen
In an article for Texas Law Review, Jeffrey Meli of Barclays and James Spindler of The University of Texas at Austin School of Law interrogate the connection between governance inclusion initiatives on corporate boards and societal decisions. [read post]
3 Oct 2023, 8:44 am by jeffreynewmanadmin
“It now has been 13 years since Dodd-Frank and well past time for swap dealers to ensure they are in full compliance with the CEA and CFTC regulations,” said Division of Enforcement Director Ian McGinley. [read post]
27 Jun 2017, 4:22 am by Edith Roberts
Commentary comes from Walter Olson at the Cato Institute’s Cato at Liberty blog, Ruthann Robson at the Constitutional Law Prof Blog, Rick Hills at PrawfsBlawg, Another new case for next term involves the whistleblower provisions of the 2010 Dodd-Frank financial law. [read post]
19 May 2017, 6:08 am
., Goodwin Procter LLP, on Friday, May 12, 2017 Tags: Boards of Directors, Delaware cases, Delaware law, Fiduciary duties, Liability standards, Liquidity, Private equity, Private funds, Restructurings, Securities litigation, Shareholder suits, Shareholder voting Expanding the Reach of the Commodity Exchange Act’s Antitrust Considerations Posted by Gregory Scopino, Georgetown University Law Center, on Saturday, May 13, 2017 Tags: Antitrust, Banks, CFTC, Derivatives, Dodd-Frank… [read post]
15 Jan 2021, 5:58 am
Kahan, Wachtell, Lipton, Rosen & Katz, on Thursday, January 14, 2021 Tags: Dodd-Frank Act, ESG, Executive Compensation, ISS, Pay for performance, Proxy advisors, Proxy voting, Say on pay, Section 162(m) DeFi and the Future of Finance Posted by Campbell R. [read post]