Search for: "Pricewaterhousecoopers LLP (US)" Results 81 - 100 of 253
Sort by Relevance | Sort by Date
RSS Subscribe: 20 results | 100 results
1 Jul 2018, 4:08 pm by INFORRM
On 29 June 2018 Nicklin J handed down judgment on the interim injunction application in the case of R (Taveta Investments) v Pricewaterhousecoopers LLP [2018] EWHC 1662 (Admin). [read post]
15 Jun 2018, 6:12 am
Nuccio and Richard Loewy, Ropes & Gray LLP, on Wednesday, June 13, 2018 Tags: Banks, Capital requirements, Dodd-Frank Act, Financial institutions, Financial reform, Financial regulation, Liquidity, Systemic risk, Volcker Rule Stock Buyouts and Corporate Cashouts Posted by Robert J. [read post]
19 Mar 2018, 4:40 am by Andrew Lavoott Bluestone
” The plaintiffs’ evidence failed to raise a question of fact as to whether the limitations period contained in the letter agreements was tolled by the continuous representation doctrine (see Williamson v PricewaterhouseCoopers LLP, 9 NY3d at 9; Cusimano v Schnurr, 137 AD3d 527, 531 [2016]; cf. [read post]
18 Feb 2018, 7:00 am
Posted by Paula Loop, Catherine Bromilow, and Sean Joyce, PricewaterhouseCoopers LLP, on Sunday, February 18, 2018 Editor's Note: Paula Loop is Leader at the Governance Insights Center, Catherine Bromilow is Partner at the Governance Insights Center, and Sean Joyce is US Cybersecurity and Privacy Leader at PricewaterhouseCoopers LLP. [read post]
1 Feb 2018, 6:01 am
Posted by Paula Loop, Catherine Bromilow, and Leah Malone, PricewaterhouseCoopers LLP, on Thursday, February 1, 2018 Editor's Note: Paula Loop is Leader, Catherine Bromilow is Partner, and Leah Malone is Director of the Governance Insight Center at PricewaterhouseCoopers LLP. [read post]
14 Dec 2017, 3:57 am by Andrew Lavoott Bluestone
” The plaintiffs’ evidence failed to raise a question of fact as to whether the limitations period contained in the letter agreements was tolled by the continuous representation doctrine (see Williamson v PricewaterhouseCoopers LLP, 9 NY3d at 9; Cusimano v Schnurr, 137 AD3d 527, 531; cf. [read post]
3 Nov 2017, 6:02 am
Choi (University of Virginia) and Geeyoung Min (Columbia University), on Tuesday, October 31, 2017 Tags: Boards of Directors, Charter & bylaws, Contracts, Delaware articles, Delaware law, Duty of good faith, Forum selection, Minority shareholders, Securities litigation, Shareholder activism, Shareholder rights, Shareholder suits Insights from PwC’s 2017 Annual Corporate Directors Survey Posted by Paula Loop,… [read post]
1 Nov 2017, 6:29 am
Posted by Martin Liebi and Alexandra Balmer, PricewaterhouseCoopers LLP, on Wednesday, November 1, 2017 Editor's Note: Martin Liebi is a Director and Alexandra Balmer is a Consultant at PricewaterhouseCoopers LLP. [read post]
31 Oct 2017, 6:03 am
Posted by Paula Loop, PricewaterhouseCoopers LLP, on Tuesday, October 31, 2017 Editor's Note: Paula Loop is Leader of the Governance Insights Center at PricewaterhouseCoopers LLP. [read post]
10 Oct 2017, 6:24 am
Posted by Sean Joyce, Julien Courbe & Roberto Rodriguez, PricewaterhouseCoopers LLP, on Tuesday, October 10, 2017 Editor's Note: Sean Joyce is a Principal, Julien Courbe is Financial Services Advisory Leader, and Roberto Rodriguez is Financial Services Advisory Manager at PricewaterhouseCoopers LLP. [read post]
20 Aug 2017, 6:24 am
Posted by Dan Ryan, PricewaterhouseCoopers LLP, on Sunday, August 20, 2017 Editor's Note: Dan Ryan is Banking and Capital Markets Leader at PricewaterhouseCoopers LLP. [read post]
14 Jul 2017, 6:19 am
Reid, Davis Polk & Wardwell LLP, on Friday, July 7, 2017 Tags: Banks, Brexit, Clearing houses, Derivatives, ESMA, EU, Europe, Financial institutions, Financial regulation, International governance, Oversight, Systemic risk, UK How Your Board Can Be Ready for Crisis Posted by Paula Loop, PricewaterhouseCoopers LLP, on Friday, July 7, 2017 Tags: Board monitoring, Boards of… [read post]
9 Jun 2017, 6:06 am
Brownback, Fried, Frank, Harris, Shriver & Jacobson LLP, on Wednesday, June 7, 2017 Tags: Bank Holding Company Act, Banks, Broker-dealers, Dodd-Frank Act, Donald Trump, FDIA, Financial institutions, Financial regulation, Glass-Steagall, GLBA, Investment banking, Mortgage lending, US Senate Supreme Court Applies Five-Year Statute of Limitations to SEC Disgorgement Claims Posted by Lewis J. [read post]
10 Feb 2017, 5:54 am
Berkovitz, Wilmer Cutler Pickering Hale and Dorr LLP, on Saturday, February 4, 2017 Tags: Algorithmic trading, Broker-dealers, CFTC, Commodities, Conflicts of interest, Cybersecurity, Derivatives, Dodd-Frank Act, Financial technology, Insider trading, Risk management, Securities enforcement, Securities fraud, Securities regulation, Swaps, Whistleblowers Financial Statement Requirements in US Securities Offerings Posted by Alexander F. [read post]
16 Jan 2017, 9:56 am by Jenny Yoo
In a corporate directors survey (the Survey) entitled “The swinging pendulum: Board governance in the age of shareholder empowerment”, PricewaterhouseCoopers LLP (PwC) presents current trends in investor influence and their impact on governance practices of boards and management teams. [read post]
10 Nov 2016, 8:29 am by Doug Cornelius
Beamish was the audit partner with PricewaterhouseCoopers LLP for the Burrill engagement. [read post]
4 Nov 2016, 1:01 am
Understanding Bank Payouts During the Crisis of 2007-2009 Posted by Gyöngyi Lóránth, University of Vienna , on Friday, October 28, 2016 Tags: Bankruptcy, Banks, Dividends, Failed banks, Financial crisis, Financial institutions, Insider trading, Market reaction,Ownership structure, Payouts, Shareholder value, Signaling Opt-Out Cases in Securities Class Action Settlements Posted by Amir Rozen, Cornerstone Research; and Christopher Harris, Latham & Watkins LLP, on… [read post]