|
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
|