Section 13(r) of the Securities Exchange Act of 1934: Disclosure Guidance for Public Companies

February 7, 2013

Gibson Dunn, in conjunction with seven other law firms, has issued guidance on New Section 13(r) Disclosures:

Eight Law Firm Consensus Report 


Gibson Dunn’s lawyers are available to assist in addressing any questions you may have about these developments.  To learn more about these issues, please contact the Gibson Dunn lawyer with whom you work, or any of the following lawyers:

Securities Regulation and Corporate Governance Practice Group:
Brian J. Lane – Washington, D.C. (202-887-3646, [email protected])
John F. Olson – Washington, D.C. (202-955-8522, [email protected])
Ronald O. Mueller – Washington, D.C. (202-955-8671, [email protected])
Amy L. Goodman – Washington, D.C. (202-955-8653, [email protected])
James J. Moloney – Orange County, CA (949-451-4343, [email protected])
Ari Lanin – Los Angeles (310-552-8581, [email protected])
Elizabeth Ising – Washington, D.C. (202-955-8287, [email protected])
Gillian McPhee – Washington, D.C. (202-955-8201, [email protected])

Energy and Infrastructure Practice Group:
William R. Hollaway Ph.D. – Washington, D.C. (202-955-8592, [email protected])

International Trade Regulation and Compliance Practice Group:
Judith A. Lee – Washington, D.C. (202-887-3591, [email protected])
Jim Doody – Washington, D.C. (202-887-3716, [email protected])
Andrea Farr – Washington, D.C. (202-955-8680, [email protected])

© 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.