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Found 79 results for Corporate Financing
In this briefing, Latham looks at the major issues for private equity firms looking to make an investment in Saudi Arabia, as well as highlighting a number of ongoing reforms which may make Saudi Arabia an even more attractive jurisdiction for private equity activity in the coming years.
Law Firm: Latham & Watkins | Published: 24 August 2010 | Practice Area: Mergers & Acquisitions
In the decision of Yucaipa American Alliance Fund II v Riggio et al, a Delaware court upheld the adoption and use of a rights plan by the board of directors of Barnes & Noble as a good faith and reasonable response to a stockholder’s rapid open market accumulation of company stock.
Law Firm: Shearman & Sterling | Published: 24 August 2010 | Practice Area: Corporate Financing
Hogan Lovells explains why the new Act will have a significant impact not only on the US financial services industry and nearly all US public companies, but also on many non-US entities which do business within the country.
Law Firm: Hogan Lovells | Published: 19 August 2010 | Practice Area: Regulation and Compliance
This guide from Norton Rose provides guidance on the regulatory frameworks for ECM in the Middle East, and will be of interest to financial advisers advising on potential IPO mandates and businesses considering listing in the region.
Law Firm: Norton Rose | Published: 18 August 2010 | Practice Area: Capital Markets and Debt Securities
This alert from Baker & McKenzie sets out the current state of the recently adopted private fund regulatory reforms in the US, and explores their impact on non-US fund managers.
Law Firm: Baker & McKenzie | Published: 18 August 2010 | Practice Area: Regulation and Compliance
The European Central Bank has published its revised collateral haircut schedule, which will take effect from 1 January 2011. Given the continuing importance of the ECB's operations to market liquidity, the revised schedule is likely to be of interest to a wide range of market participants.
Law Firm: Allen & Overy | Published: 17 August 2010 | Practice Area: Regulation and Compliance
This newsletter discusses CESR’s final guidelines on risk measurement and the calculation of global exposure and counterparty risk for UCITS, and the public hearing on the review of MiFID
Law Firm: Norton Rose | Published: 11 August 2010 | Practice Area: Sales and Asset Finance
This e-briefing from Eversheds examines topics such as: the European Commission's PRIPs initiative; director disqualification - OFT toughens up approach; FSA acquires new suspension powers; and consultation on modernisation of the rules for investment trust companies.
Law Firm: Eversheds | Published: 11 August 2010 | Practice Area: Regulation and Compliance
This regulatory update from Macfarlanes covers developments including: CESR Guidelines on risk measurement and the calculation of global exposure and counter party risk; sale of unregulated collective investment schemes by small firms; and sources of systemic risk from hedge funds.
Law Firm: Macfarlanes LLP | Published: 10 August 2010 | Practice Area: Regulation and Compliance
This article by Stephenson Harwood examines the challenges of bringing Asian companies to AIM - for many the market of choice for an IPO pre-crisis - in the current volatile stock markets
Law Firm: Stephenson Harwood | Published: 04 August 2010 | Practice Area: Capital Markets and Debt Securities
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