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Second Circuit Holds That the Supreme Court’s Decision in Morrison May Limit Section 10(b) Claims in U.S. Relating to U.S. Transactions Involving Primarily Foreign Securities and Foreign Issuers

On August 15, 2014, the U.S. Court of Appeals for the Second Circuit issued a ruling limiting the extraterritorial application of Section 10(b) of the Securities Exchange Act of 1934 in the wake of the Supreme Court's landmark opinion in Morrison v. National Australia Bank Ltd.

Client Alert | August 25, 2014

Indian Government Amends Pricing Guidelines

Pursuant to a circular dated July 15, 2014 and a notification ("RBI Notification"), the Reserve Bank of India ("RBI") has amended the pricing guidelines that are applicable for the issuance or transfer of equity shares, compulsorily convertible preference shares and compulsorily convertible debentures of unlisted Indian companies.

Client Alert | July 21, 2014

Applying Morrison Extra-Territorial Limits of U.S. Securities Laws, Second Circuit Rejects Claims Regarding Securities Dual Listed on U.S. and Foreign Exchanges

On May 6, 2014,  the U.S. Court of Appeals for the Second Circuit issued a ruling which continued the recent trend of further restricting the extra-territorial application of the U.S.

Client Alert | May 9, 2014

Emerging from EGC Status: Transition Periods for Former EGC Issuers to Comply with Reporting and Corporate Governance Requirements

Nearly two years ago, on April 5, 2012, President Obama signed the Jumpstart Our Business Startups Act ("JOBS Act") into law. As part of the law's effort to encourage U.S.

Client Alert | March 12, 2014

A Look Back: Regulation M-A & The “Five-Business” Day Rule

Orange County partner James Moloney and associate Tim Mullins are the authors of "A Look Back: Regulation M-A & The 'Five-Business' Day Rule" [PDF] published in the March-April issue of Deal Lawyers.

Article | March 3, 2014

Inside the SEC: Highlights from the 41st Annual Securities Regulation Institute

Orange County partner James Moloney and associate Michael Titera are the authors of “Inside the SEC: Highlights from the 41st Annual Securities Regulation Institute” [PDF] published in the February 2014 issue of Aspen's Insights.

Client Alert | February 1, 2014

India Eases Restrictions on Instruments with Put and Call Options as an Exit Mechanism for Foreign Investors

Pursuant to a notification dated November 12, 2013 and a subsequent circular dated January 9, 2014 ("RBI Notification"), the Reserve Bank of India ("RBI") has legalized the use of call options and put options as an exit mechanism for foreign investors.

Client Alert | January 16, 2014

Delisting Reloaded – German Supreme Court Abandons Cumbersome Restrictions

On November 12, 2013, the German Federal Supreme Court (Bundesgerichtshof - BGH) published a landmark judgment ("Frosta") concerning the requirements for a delisting of a public company from the regulated market in Germany.

Client Alert | November 18, 2013

SEC Proposes Rules to Implement Crowdfunding Exemption: What Factors Will Affect Its Success?

On October 23, 2013, the Securities and Exchange Commission (the SEC or the Commission) approved the release of proposed "crowdfunding" rules implementing Title III of the 2012 Jumpstart Our Business Startups Act (the JOBS Act).

Client Alert | November 11, 2013

New Reg D: Implications for Offering Publicly Traded Securities as Consideration in Private Acquisitions

Dallas partner Robert Little, Orange County partner James Moloney and Dallas associate Anthony Shoemaker are the authors of “New Reg D: Implications for Offering Publicly Traded Securities as Consideration in Private Acquisitions” [PDF], published in the November-December 2013 issue of Deal Lawyers.

Client Alert | November 1, 2013

Investing in the UAE

London and Dubai partners Mitri Najjar and Hardeep Plahe are the authors of "Investing in the UAE", October 2013.____________________© 2013 Gibson, Dunn & Crutcher LLP.  Attorney Advertising: The enclosed materials have been prepared for general informational purposes only and are not intended as legal advice.

Client Alert | October 31, 2013

Options for Business Activities in the UAE

London and Dubai partners Mitri Najjar and Hardeep Plahe are the authors of "Options for Business Activities in the UAE", October 2013. ____________________© 2013 Gibson, Dunn & Crutcher LLP.  Attorney Advertising: The enclosed materials have been prepared for general informational purposes only and are not intended as legal advice.

Client Alert | October 31, 2013

UK Consults on Its AIFM Remuneration Code

Background Article 13 of the Alternative Investment Fund Managers Directive (2011/61/EU) (the "Directive") imposes restrictions on the amount and the form of remuneration that an alternative investment fund manager ("AIFM"), within the scope of the Directive, can pay to its staff.

Client Alert | September 26, 2013

Regulation E’s Remittance Definition Clarified: Bringing Mobile Payments Into the Third-Party Payment Services

Washington, D.C. associate Colin C. Richard is the author of “Regulation E’s Remittance Definition Clarified: Bringing Mobile Payments Into the Third-Party Payment Services Exclusion” [PDF] published in the September 2013 issue of Yale Law & Policy Review Inter Alia.

Client Alert | September 23, 2013

UK Corporate Governance Developments: 2013 Mid-Year Update

Gibson Dunn provides a brief summary of developments and trends in corporate governance and executive remuneration in the UK, as of summer 2013.

Client Alert | August 27, 2013

SEC Approves Final Rules to Permit Advertising in Rule 506 and Rule 144A Offerings; Also Proposes Rules to Add Additional Investor Protections

At an Open Commission Meeting on July 10, 2013, the SEC adopted long-awaited final rules to allow advertising of private securities offerings, as required by the Jumpstart Our Business Startups Act (the JOBS Act).

Client Alert | July 22, 2013

SEC Lifts Ban on General Solicitation, Allowing Private Funds to Advertise

On July 10, 2013, the Commissioners of the U.S. Securities and Exchange Commission ("SEC" or the "Commission") voted 4-1 to adopt a rule that will eliminate the prohibition against general solicitation and general advertising (together, "general solicitation") in private offerings conducted pursuant to Rule 506 of Regulation D under the Securities Act of 1933 (the "Securities Act").

Client Alert | July 17, 2013

Public Companies and the “End-User Exception” for Swaps: Governance Action Items

Title VII of the Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010 and new Commodity Futures Trading Commission (CFTC) rules require that, subject to certain exceptions, swap counterparties clear swaps at a clearing house and execute them on a facility or exchange.  One of these exceptions is the "end-user exception," which may be available for companies that are not "financial entities" and that use swaps to manage risk.  There are several requirements that these entities must meet in order to rely on the end-user exception.  For public companies, these include taking certain governance steps that involve board-level approval of the company's use of uncleared swaps and review of company policies on swaps.  With the CFTC clearing requ

Client Alert | June 17, 2013

The High Growth Segment: A New Route to the UK’s Equity Capital Markets

This alert provides a comparison of the options now available for an issuer seeking to access the UK's equity capital markets, with a focus on the new "High Growth Segment" of the London Stock Exchange's Main Market.

Client Alert | April 12, 2013

A Quick Guide to the AIFMD for Non-EU Investment Managers

This alert provides a brief overview of the European Alternative Investment Fund Managers Directive 2011/61/EU (the "AIFMD") for alternative investment fund managers ("AIFMs") whose registered office is not in a European Union Member State (a "Non-EU AIFM").A.

Client Alert | March 7, 2013

Financial Services Act 2012: A New UK Financial Regulatory Framework – All Change?

The Financial Services Act 2012 (the "Act"), which comes into force on 1 April 2013, contains the UK government's reforms of the UK financial services regulatory structure and will create a new regulatory framework for the supervision and management of the UK's banking and financial services industry.

Client Alert | March 4, 2013

Changing of the guard

Dubai partner Hardeep Plahe and Brussels associate Alejandro Guerrero are the authors of “Changing of the guard” [PDF] published in the February 19, 2013 issue of Competition Law Insight.

Client Alert | February 19, 2013

Inside the SEC: Highlights from the 40th Annual Securities Regulation Institute

Orange County partner James Moloney, Century City partner Ari Lanin, and Los Angeles associate Jamie Gowell are the authors of “Inside the SEC: Highlights from the 40th Annual Securities Regulation Institute” [PDF] published in the February 2013 issue of Aspen's Insights.

Article | February 15, 2013

New Investment Funds Regulations for the UAE

Dubai partners Hardeep Plahe and Chézard Ameer are the authors of "New Investment Funds Regulations for the UAE" [PDF].

Client Alert | February 1, 2013

Walking the High Wire: Guidelines for Board of Director Designees Of Private Equity Funds, Activist Stockholders and Other Investors

Dallas partner Robert Little and associate Chris Babcock are the authors of “Walking the High Wire: Guidelines for Board of Director Designees Of Private Equity Funds, Activist Stockholders and Other Investors” [PDF] published in the December 10, 2012 issue of Bloomberg/BNA's Securities Regulation & Law Report.

Client Alert | December 10, 2012

Update: New EU Short Selling Regulation

The European Union has adopted a new regulation on short selling and certain aspects of credit default swaps (Regulation (EU) 236/2012) (the "Regulation").

Client Alert | October 30, 2012

JOBS Act: FINRA Proposes Rule Changes Relating to Research Analysts and Underwriters

On September 28, 2012, the Financial Industry Regulatory Authority, Inc. ("FINRA") (f/k/a National Association of Securities Dealers, Inc. ("NASD")) filed proposed rule changes to NASD Rule 2711 with the Securities and Exchange Commission (the "SEC").

Client Alert | October 11, 2012

SEC Releases FAQs on JOBS Act Provisions Relating to Research Analysts and Underwriters

On August 22, 2012, the SEC's Division of Trading and Markets (the "Staff") released Frequently Asked Questions ("FAQs") providing the Staff's views on provisions of the Jumpstart Our Business Startups Act ("JOBS Act") relating to research analysts and underwriters.

Client Alert | September 4, 2012

The JOBS Act: What It Means for Capital Markets Practices and Capital-Raising Strategies

New York partner Glenn Pollner is the author of "The JOBS Act: What It Means for Capital Markets Practices and Capital-Raising Strategies" [PDF] appearing as a chapter in the 2012 Edition of Aspatore's Inside the Minds: Recent Developments in Securities Law.

Client Alert | September 1, 2012

SEC Proposes Amendments to Permit Advertising in Rule 506 and Rule 144A Offerings

On August 29, 2012, the Securities and Exchange Commission (the "SEC" or the "Commission") proposed rules to implement Section 201(a) of the Jumpstart Our Business Startups (JOBS) Act, which requires the SEC to eliminate the prohibition against general solicitation and general advertising (together, "general solicitation") in securities offerings conducted pursuant to Rule 506 of Regulation D under the Securities Act of 1933 (the "Securities Act") and Rule 144A under the Securities Act.

Client Alert | August 31, 2012

Back to Square One? German Constitutional Court Rewrites Delisting Rules

On July 11, 2012, the German Federal Constitutional Court (Bundesverfassungsgericht -- BVerfG) released an important judgment concerning the conditions of a delisting of a public company from the regulated market in Germany.

Client Alert | July 24, 2012

Ins and Outs of Purchasing Natural Gas-Fueled Power Plants

Dallas partner Robert Little is the author of "Ins and Outs of Purchasing Natural Gas-Fueled Power Plants" [PDF] published in Texas Lawyer on July 16, 2012.

Client Alert | July 16, 2012

Foreign Venture Capital Investors Permitted to Participate in the Secondary Market

The Reserve Bank of India ("RBI") recently issued a circular permitting foreign venture capital investors registered with the Securities and Exchange Board of India ("FVCI") to participate in secondary market transactions, with effect from March 19, 2012.

Client Alert | April 24, 2012

Jumpstart Our Business Startups (JOBS) Act Applies to Debt-Only Issuers

On April 5, 2012, President Obama signed the Jumpstart Our Business Startups Act ("JOBS Act" or the "Act") into law. While the Act and recent commentary have focused primarily on common equity issuances by "Emerging Growth Companies" (or "EGCs"), the JOBS Act also impacts companies that have issued only debt securities in registered transactions, typically pursuant to an "A/B" exchange for privately offered high-yield debt securities.

Client Alert | April 23, 2012

Mongolia’s New Securities Markets Law

After more than six years of consideration, the Mongolian Parliament is expected to adopt a new securities markets law later this year to replace the existing law, which will be a major step in Mongolia's recent efforts to bring its capital markets up to world-class standards.

Client Alert | April 20, 2012

President Obama Signs Jumpstart Our Business Startups (JOBS) Act

To update our alert of March 28, President Obama signed the Jumpstart Our Business Startups Act ("JOBS Act") into law today. We believe the JOBS Act is the most significant modernization of the federal securities laws since the Securities and Exchange Commission's 2005 Securities Offering Reform.

Client Alert | April 5, 2012

Jumpstart Our Business Startups (JOBS) Act Changes the Public and Private Capital Markets Landscape

On March 27, 2012, the House passed the Jumpstart Our Business Startups Act ("JOBS Act"), as amended and passed by the Senate on March 22. It is widely anticipated that President Obama will quickly sign the JOBS Act into law.

Client Alert | March 28, 2012

CFTC Adopts Final Rules Implementing Real-time Public Reporting of Swap Data and Re-Proposes Rules Relating to Block Trades

Implementation of the Dodd-Frank Wall Street Reform and Consumer Protection Act (the "Dodd Frank Act") requires agencies to promulgate hundreds of new rules.  The Commodity Futures Trading Commission ("CFTC") is at the forefront of implementing the derivatives title of Dodd-Frank, and is approximately halfway through issuing roughly 50 new rules.  When Congress was considering the Dodd-Frank Act, a principal hallmark of the legislation was increased transparency.  The real-time public reporting rule, recently issued by the CFTC, will dramatically change the content and amount of derivatives transactional information that is shared with the public.  It also imposes new and potentially daunting burdens on companies that use derivatives products.T

Client Alert | March 23, 2012

Risk Factors: Time for a Tune-Up

New York partner Andrew Fabens is the author of "Risk Factors: Time for a Tune-Up" [PDF] published on January 11, 2012 in CFO Magazine.

Article | January 11, 2012

SEC’s Division of Corporation Finance Releases Legal Bulletin Clarifying Expectations with Respect to Registered Offering Opinions

Registration statements under the U.S. Securities Act of 1933, as amended, generally require a signed opinion of counsel regarding the legality of the securities being offered and sold.

Client Alert | October 19, 2011

Unlocking Stockholder Value with Spin-Offs

Washington, D.C. partner Stephen Glover is the author of "Unlocking Stockholder Value with Spin-Offs" [PDF] published in the October 2011 issue of LexisNexis Emerging Issues Analysis.

Client Alert | October 1, 2011

The Securities and Exchange Board of India Once Again Takes the View That Put/Call Options Are Unenforceable under Indian Law

In a letter dated May 23, 2011, the Securities and Exchange Board of India ("SEBI", and such letter, the "SEBI Letter") took the view that put/call options governing the shares of an Indian public listed company are unenforceable.

Client Alert | August 2, 2011

SEC Adopts New Rules to Replace Use of Credit Ratings in Short-Form Eligibility Criteria

On July 26, 2011, the Securities and Exchange Commission ("SEC") adopted new rules to eliminate an issuer's credit rating as one of the "transaction requirement" criteria by which an issuer can qualify for the short-form registration process on Forms S-3 and F-3.

Client Alert | August 2, 2011

The SEC Begins to Part Ways with Credit Ratings Pursuant to Dodd-Frank Stricture

On February 9, 2011, the Securities and Exchange Commission ("SEC") proposed to amend the SEC's rules to eliminate credit rating as one of the "transaction requirement" criteria by which an issuer can qualify for the short-form registration process, most notably under Forms S-3 and F-3.

Client Alert | February 15, 2011

2010 Year-End German Law Update

The improvements in the German economy in 2010 have eased some of the restructuring pain, but have not prevented lawmakers from responding to certain deficiencies that are widely believed to have caused the financial crisis.

Client Alert | January 14, 2011

Bombay High Court Holds That Public Listed Company Shares Can Be Subjected to Preemptive Rights

On September 1, 2010, a division bench of the Bombay High Court held that consensual preemptive arrangements between shareholders in a public listed company do not violate the principle of free transferability of shares enshrined in section 111A of the Indian Companies Act, 1956 ("Companies Act").

Client Alert | October 15, 2010

Prospectus Directive amendments – discussion of key changes

London partner Dorothee Fischer-Appelt is the author of "Prospectus Directive amendments - discussion of key changes" [PDF] published in the September 2010 issue of Law and Financial Markets Review (pp.

Client Alert | September 27, 2010

U.S. Regulatory Reform Heads to the Implementation Phase

Printable PDF Dodd-Frank Wall Street Reform and Consumer Protection Act Signed by the President On July 21, 2010, President Barack Obama signed into law the Dodd-Frank Wall Street Reform and Consumer Protection Act, the most sweeping financial reform legislation in over a generation.

Client Alert | July 23, 2010

Restructuring in SEC Division of Corporation Finance

PDF Version On July 16, 2010, the U.S. Securities and Exchange Commission (the "SEC") announced that the Division of Corporation Finance (the "Division") will create three new specialized offices that are intended to focus the Division's resources on critically important institutions and financial products.

Client Alert | July 16, 2010

Amendments to the EU Prospectus Directive: Summary of Key Changes

This Alert summarizes certain key changes to the EU Prospectus Directive (2003/71/EC) which were approved by the EU Parliament on June 17, 2010 (the "Amending Directive").

Client Alert | June 23, 2010