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Practice: Canada

Canada

Publications
July 30, 2010  What Foreign Private Issuers Need to Know About the Corporate Governance and Disclosure Provisions of the Dodd-Frank Act
March 1, 2010  Court Rejects FTC Challenge to Reverse Settlement Agreement
February 26, 2010  SEC Approves Final E-Proxy Amendments
February 25, 2010  Getting the Deal Through: Cartel Regulation 2010
January 6, 2010  Noteworthy U.S. Legal and Regulatory Developments During 2009
December 11, 2009  Second Circuit Interprets Credit Suisse Securities (USA) LLC v. Billing and Holds Antitrust Claims Implicitly Precluded by the Securities Laws
July 2, 2009  SEC Proposes Enhanced Compensation and Corporate Governance Disclosures for U.S. Public Companies
May 21, 2009  The SEC’s New Proxy Access Proposals
January 9, 2009  Noteworthy U.S. Legal and Regulatory Developments During 2008 of Interest to Canadian Companies and Their Advisors
January 9, 2009  The Martin Act: Using New York’s “Blue Sky” Law to Require Enhanced Disclosure by CO2 Emitters
February 1, 2008  Noteworthy U.S. Legal and Regulatory Developments During 2007 of Interest to Canadian Companies
8/2/2004  Sale of Less than 60% of a Corporation's Assets and 'Substantially All' under the Delaware General Corporation Law
1/15/2004  Certifications for Annual Reports Filed on MJDS Form 40-F
12/31/2003  New Disclosure Regime for Annual Reports Filed on MJDS Form 40-F
6/27/2003  Jobs and Growth Relief Reconciliation Act of 2003 - Effect on U.S. Investment in Canadian Corporations and Income and Royalty Trusts
2/11/2003  New Disclosure Regime for Annual Reports filed on MJDS Form 40-F
12/31/2002  SEC Filings Under The Multijurisdictional Disclosure System
5/1/2000  Listing and Offering Equity Securities in The United States: A Guide for Canadian Companies