Explore ACC's selection of global, regional, and country-focused resources to help in-house counsel navigate legal, business and career issues arising from the COVID-19 (coronavirus / 2019-nCov) crisis.
This guide provides an overview of key legal issues, rules and developments regarding alternative investment funds across a range of jurisdictions.
Some topics discussed include regulatory frameworks, fund structures, marketing, disclosures, and taxation.
This guide provides global insights into mergers and acquisitions laws and regulations with expert guidance across 13 jurisdictions.
This multi-jurisdictional guide covers common issues in securitization laws and regulations.
Topics covered include receivables contracts, receivables purchase agreements, asset sales, security issues, insolvency laws, special rules, regulatory issues, and taxation.
This Financial Services Regulatory Calendar highlights key regulatory dates for the year across Europe.
Stay ahead with this comprehensive calendar, designed to help navigate the evolving regulatory landscape. Whether you are a financial professional or have an interest in the sector, this resource is tailored to keep you informed and prepared.
This multi-jurisdictional guide is designed to provide insight into the practicalities of mergers and acquisitions, highlighting market trends and legal developments as well as practical and strategic considerations.
Topics covered include relevant authorities and legislation, target defenses, bidder protection, and mechanics of acquisition – in 36 jurisdictions.
This guide covers common issues regarding private client laws in 24 jurisdictions.
Topics covered include pre-entry tax planning, connection factors, taxation issues on inward investment, succession planning, trusts and foundations, immigration issues, and tax treaties.
This guide provides an overview of key legal issues, rules, and developments regarding derivatives across a range of jurisdictions.
Topics covered include documentation and formalities, credit support, insolvency/bankruptcy, close-out netting, taxation, and market trends.
This guide provides an overview of the key steps, legal issues and market practices involved in the IPO process by examining practices in 16 jurisdictions around the world.
On April 3, 2024, the US Securities and Exchange Commission announced that it had reached a $6.5 million settlement with registered investment adviser (RIA) Senvest Management, LLC on charges related to the firm’s “widespread and longstanding failures to maintain and preserve certain electronic communications.”
This article analyze potential lessons learned from this latest off-channel communications SEC enforcement action.