By Nikolas S. Komyati and Jordan J. Levine | February 10, 2018
A recent Third Circuit opinion held that the transfer of assets by a foreign subsidiary of a debtor was not a fraudulent transfer under the Delaware Uniform Transfer Act.
The American Lawyer | Analysis
By Meredith Hobbs | February 9, 2018
Like every other business, law firms are trying to find ways to take advantage of the new tax law.
By Jacob Pultman | February 9, 2018
The gig economy is the wave of the future and, like any new and disruptive industry, there will undoubtedly be growing pains. But a smart legal strategy can lay the groundwork for a far more seamless transition into this era.
New York Law Journal | Analysis
By David Wertheimer | February 9, 2018
The Second Circuit's decision in 'Waggoner v. Barclays' has garnered attention for its rulings on the requirements for showing and rebutting market efficiency and the related presumption of reliance in class actions brought under §10(b) of the 1934 Securities Exchange Act. Less noticed—but no less important—is the court's discussion of the damages that the certified class might recover.
Corporate Counsel | Expert Opinion
By Daniel Trujillo | February 9, 2018
I go to work every day thinking about not just how to make the program better—I challenge myself with how to make the company better. I have found that if you start with that question, the program works better and is effective, efficient, and sustainable.
Corporate Counsel | Commentary
By Steven P. Seltzer | February 9, 2018
While the legal industry has undergone dramatic shifts and changes in recent times, it is still not a very common occurrence to find a long-time inside counsel making the leap into the world of outside law firms.
The Legal Intelligencer | Commentary
By Francis J. Lawall and Marcy J. McLaughlin | February 8, 2018
Section 365(a) of the Bankruptcy Code is a powerful tool which enables a debtor to reject certain contracts it finds unnecessary or burdensome to its reorganization.
New York Law Journal | Analysis
By Jay Holtmeier, Erin Sloane and Jeff Habenicht | February 8, 2018
On Nov. 29, 2017, Deputy Attorney General Rod Rosenstein announced a new FCPA Corporate Enforcement Policy based on the 2016 FCPA Pilot Program, which first attempted to formalize the DOJ's treatment of self-disclosure, cooperation, and remediation in the FCPA enforcement context. In announcing the new Policy, Rosenstein explained the DOJ's view that the Pilot Program had been successful, significantly increasing self-disclosure rates. The Policy, however, is a somewhat mixed bag for companies struggling to decide whether to voluntarily disclose misconduct.
New York Law Journal | Analysis
By Joanna Garelick Goldstein and Lisa Parlo | February 8, 2018
Corporations today must ask themselves not only if they are doing enough to avoid liability with regards to harassment claims but also if they are doing enough to combat the culture of harassment that exists in many workplaces.
The Legal Intelligencer | Commentary
By Daniel J. Malpezzi and Timothy J. Horstmann | February 8, 2018
On Dec. 20, 2017, Congress passed the Tax Cuts and Jobs Act (TCJA), the purpose of which was to stimulate economic growth through a major overhaul of the Internal Revenue Code.
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