Spotlight on Practical Law What’s Market

Mar 22, 2017 By: Stephanie Backes

A spotlight on Practical Law What’s Market which allows subscribers to search, review, and compare summaries of recent deals and filings and

Social Media Tips and Ethics for Litigators

Mar 15, 2017 By: Lauren Sobel

Social media allows people to share all kinds of information with the public, and many use it to detail every aspect of

Year in Review: IPOs in 2016

Mar 15, 2017 By: Sandra Muscat

Following a lackluster year in 2015, IPO activity in the US continued to decline in 2016. There were 102 US IPOs in

Phantom Stock Plans for Private, Closely-held Companies

Feb 13, 2017 By: Dan Hogans

Top performers who believe in a company’s future often want to be compensated with equity.  But owners of closely-held businesses may be

Cupid’s Arrow Doesn’t Have to Sting: Sensible Approaches to Workplace Romance

Jan 27, 2017 By: Kate Bally

With Valentine’s Day approaching, now is a good time to consider the potential risks associated with workplace romances.  These relationships can expose

Managing the Antitrust Risks of Information Exchanges

Dec 12, 2016 By: Janelle Filson Wrigley

Information exchanges between competitors are a hot area of antitrust enforcement.

The federal rules are changing… again!

Nov 28, 2016 By: Benjamin Heiss

Amendments to both the Federal Rules of Appellate Procedure (FRAP) and the Federal Rules of Civil Procedure (FRCP) will become effective on December 1, 2016.

Webinar: Best Practices for Litigating in the Age of Social Media

Nov 18, 2016 By: Lauren Sobel

Join Practical Law and Samantha V. Ettari, E-Discovery Counsel at Kramer Levin Naftalis & Frankel LLP, for a discussion of the key issues and best practices surrounding social media in litigation.

Client Communication Tips: Preparing for the Holidays

Nov 3, 2016 By: Renee Karibi-Whyte

With less than two months to go in 2016, you may have started to reflect on whether you have achieved your annual goals.

DOL Issues Long-Awaited Fiduciary Rule FAQs

Nov 3, 2016 By: Gia Norris

On October 27, 2016, the Department of Labor issued FAQs in connection with the DOL’s April, 2016 final fiduciary investment advice rule and the related new and amended prohibited transaction exemptions issued with the final rule.

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