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Enforcement of Environmental Obligations by International Tribunals, New York Law Journal, December 31, 2012 by Stephen L. Kass

The JOBS Act and its Implications for Canadian and Other Non-U.S. Issuers, Client Advisory, May 9, 2012 by Guy P. Lander, Steven J. Glusband, Bruce A. Rich, Gideon Even-Or and Christine Y. Jung

Lessons From Lago Agrio Environmental Pollution Case, New York Law Journal, September 15, 2011 by Stephen L. Kass

The UK Bribery Act 2010 and the US FCPA, Concepts and Contrasts, The Barrister, June 7, 2011 by Robert A. McTamaney

Guide to the U.S. Capital Markets for U.S. and Foreign Companies and Their Advisers, January 1, 2011 by Guy P. Lander

The Waxman-Markey Climate Change Bill, New York Law Journal, June 15, 2009 by Stephen L. Kass

Enforcing Mitigation in International EIAs, New York Law Journal, April 24, 2009 by Stephen L. Kass

Recent Changes for Foreign Private Issuer Filings on 20-F and 40-F, Client Advisory, February 2, 2009 by Guy P. Lander

SEC Amends Oil and Gas Reporting Requirements, Client Advisory, February 2, 2009 by Guy P. Lander

U.S. Foreign Investment and National Security Act of 2007, Client Advisory, January 2009 by Robert A. McTamaney

Modernization of SEC Oil and Gas Reporting Requirements, Client Advisory, July 3, 2008 by Guy P. Lander

Foreign Issuer Reporting Enhancements, Client Advisory, June 5, 2008 by Guy P. Lander and Alice Kenniff

Revisions to the Eligibility Requirements for Primary Securities Offerings on Forms S-3 and F-3, Client Advisory, February 7, 2008 by Guy P. Lander, Stephen V. Burger and Evangelos Kramvis

SEC Eliminates U.S. GAAP Reconciliation Requirement for Foreign Private Issuers that Adopt International Financial Reporting Standards, Client Advisory, February 7, 2008 by Guy P. Lander and G. Christina Gray-Trefry

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Dealmakers Face Regulatory Hurdles for Cross-Border Deals, Investment Dealers' Digest, September 24, 2007 by Robert A. McTamaney


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