Search for: "Michael Steen" Results 121 - 140 of 176
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7 Jul 2017, 6:39 am
Klingsberg, Cleary Gottlieb Steen & Hamilton LLP, on Wednesday, July 5, 2017 Tags: Accountability, Boards of Directors, Capital structure, Controlling shareholders, Dual-class stock, Entrenchment, Institutional Investors, IPOs, Minority shareholders, Mutual funds, Private ordering, Recapitalization, Shareholder rights, Shareholder voting Internal Investigations Special Committees Resource Posted by Gregory A.… [read post]
11 Aug 2023, 6:30 am
., on Friday, August 4, 2023 Tags: CEO turnovers, Director tenure, effective leadership, Executive Compensation, S&P 500, strategic planning Spotlight on Recent M&A Delaware Decisions Posted by Barbara Borden and Sarah Lightdale, Cooley LLP, on Saturday, August 5, 2023 Tags: Delaware articles, Delaware cases, Delaware Court of Chancery, Delaware law, Merger litigation, Mergers & acquisitions Delaware Supreme Court Upholds Board Action that Has a Disenfranchising Effect on a… [read post]
23 Dec 2022, 6:30 am
Bell, Dean Kristy, and Julia Forbess, Fenwick & West LLP, on Thursday, December 22, 2022 Tags: board diversity, ESG, Glass Lewis, ISS, Proxy season, Proxy voting New DOL Guidance on ESG and Proxy Voting Posted by Michael Albano, and Elizabeth Dyer, Cleary Gottlieb Steen & Hamilton LLP, on Thursday, December 22, 2022 Tags: Corporate governance, DOL, ERISA, ESG, Fiduciary duties, Final Rule [read post]
31 Oct 2012, 10:17 am by McNabb Associates, P.C.
., 70, on a single count of arson for "intentionally and maliciously" setting the 2001 Hardie-Hammond Fire in the Steens Mountain federal management and protection area. [read post]
2 Mar 2018, 6:09 am
Thompson (Georgetown University), on Wednesday, February 28, 2018 Tags: Class actions, Insider trading, Rule 10b-5, Securities enforcement, Securities litigation, Securities regulation, Supreme Court, U.S. federal courts The Governance of Foundation-Owned Firms Posted by Henry Hansmann (Yale Law School) and Steen Thomsen (Copenhagen Business School), on Thursday, March 1, 2018 Tags: Agency costs, Boards of… [read post]
12 Nov 2021, 6:07 am
Department of Justice, on Monday, November 8, 2021 Tags: Board monitoring, Compliance & ethics, Corporate crime, Corporate culture, Deferred prosecution agreements, DOJ, FCPA, Misconduct, Non-prosecution agreement, Securities enforcement SPAC Sweeps Posted by Michael J. [read post]
1 Mar 2019, 6:04 am
Halloran, Cleary Gottlieb Steen & Hamilton LLP, on Thursday, February 28, 2019 Tags: Asset management, BlackRock, Boards of Directors, Corporate culture, Engagement, ESG, Index funds, Institutional Investors Should FASB and IASB Be Responsible for Setting Standards for Nonfinancial Information? [read post]
20 Nov 2020, 6:00 am
Securities and Exchange Commission, on Thursday, November 19, 2020 Tags: Compliance and disclosure interpretation, Disclosure, Investment advisers, Investor protection, Retail investors, SEC, SEC enforcement, Securities enforcement, Securities fraud, Whistleblowers A Sober Look at SPACs Posted by Michael Klausner (Stanford University), Michael Ohlrogge (NYU), and Emily Ruan (Stanford University), on Thursday, November… [read post]
11 Dec 2020, 6:01 am
Silverman, Cleary Gottlieb Steen & Hamilton LLP, on Tuesday, December 8, 2020 Tags: Accredited investors, Capital formation, Equity offerings, Investor protection, Registration exemptions, Retail investors, SEC, SEC rulemaking, Securities enforcement, Securities regulation, Solicitation Who Benefits from Analyst “Top Picks”? [read post]
31 Mar 2017, 6:03 am
McIntosh, Wachtell Lipton Rosen & Katz, on Friday, March 24, 2017 Tags: Board communication, Boards of Directors, Engagement, Firm performance, Fund managers, Hedge funds, Institutional Investors, Management, Market conditions, Shareholder activism, Target firms New York Cybersecurity Regulations for Financial Institutions Enter Into Effect Posted by Michael Krimminger, Cleary Gottlieb Steen & Hamilton LLP, on Saturday, March 25, 2017 Tags: Accounting, Banks,… [read post]
24 Dec 2021, 6:26 am
Parker, PricewaterhouseCoopers LLP, on Sunday, December 19, 2021 Tags: Boards of Directors, Climate change, Cybersecurity, Environmental disclosure, ESG, Financial reporting, Human capital, Risk disclosure, SEC, Securities regulation, Sustainability Glass Lewis’ 2022 Policy Guidelines: Important Updates Posted by Shaun Bisman and Han Wen Zhang, Compensation Advisory Partners, on Monday, December 20, 2021 Tags: Board… [read post]
27 Dec 2019, 6:59 am
Bell, Cleary Gottlieb Steen & Hamilton LLP, on Thursday, December 26, 2019 Tags: Accountability, Anti-corruption, Disclosure, Dodd-Frank Act, International governance, Regulation S-K, SEC, SEC rulemaking, Section 1504, Securities regulation, Transparency [read post]
8 Feb 2019, 6:04 am
Tiger, Cleary Gottlieb Steen & Hamilton LLP, on Tuesday, February 5, 2019 Tags: Acquisitions, Boards of Directors, Change in control, Duty of care, Financial reporting, Firm performance, Forecasting, Long-Term value, Management, Mergers & acquisitions, Target firms Executive Compensation, Corporate Governance, and Say on Pay Posted by Fabrizio Ferri (University of Miami) and Robert F. [read post]
22 Aug 2009, 4:06 am
Commissioner John Steen had actually called to speak with a rodeo clown from El Paso who was quoted in a recent newspaper article as having problems with surcharge. [read post]
1 Dec 2017, 6:17 am
Peer Information and Empowered Voters: Evidence from Voting on Shareholder Proposals Posted by Xiao Li (Central University of Finance and Economics), Jeffrey Ng (Hong Kong Polytechnic University), and Hong Wu (Hong Kong Polytechnic University), on Friday, November 24, 2017 Tags: Accounting, Boards of Directors, Disclosure, Financial reporting, Information environment, Peer groups, Securities regulation, Shareholder proposals, Shareholder… [read post]