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Cravath Client Alerts

Our lawyers produce memoranda that both alert our clients to legal and regulatory developments, industry issues and court decisions and analyze the impact of these developments, issues and decisions on our clients. Please click on the individual headline to read the alerts that may be of interest.

October 26, 2018 U.S. Securities and Exchange Commission Cautions Public Companies on Risks Arising from Cyber‑Related Frauds
May 21, 2018 General Data Protection Regulation
April 17, 2018 Update on United States Sanctions Against Russia
February 16, 2018U.S. SEC 2019 Budget Request Prioritizes Cybersecurity Enforcement and Management of Internal Cybersecurity Risk
February 1, 2018 New Year's Resolutions for Director Compensation from Investors Bancorp
November 30, 2017U.S. Department of Justice Announces New FCPA Corporate Enforcement Policy
October 23, 2017Till No More: Second Circuit in Momentive Requires Market Interest Rate for Secured Creditor Cramdown in Chapter 11
October 6, 2017DOJ Challenges Parker-Hannifin’s Acquisition of CLARCOR
June 21, 2017 In Kokesh v. SEC, the U.S. Supreme Court Held that SEC Disgorgement Is a “Penalty,” with Consequences for Both SEC Enforcement Actions and Corporate Taxpayers
May 20, 2016Defend Trade Secrets Act To Become Law
November 24, 2015New Rules on Inversion Transactions
July 23, 2015Recent SEC and PCAOB Guidance Affecting Foreign Private Issuers
August 21, 2013October Term 2012: Trends in Supreme Court Intellectual Property Jurisprudence
April 10, 2013CFTC Issues Significant Relief from Reporting for Swaps between Members of a Corporate Group
January 8, 2013The Implications of New U.S. Derivatives Regulations on End-Users of Swaps
December 6, 2012Department of Justice and Securities and Exchange Commission Issue FCPA Guidance
September 26, 2012 SEC Proposes Rule on General Solicitation in Certain Unregistered Securities Offerings
August 9, 2012 Derivatives Rules Under the Dodd-Frank Act Affecting End-Users
May 24, 2012 Court of Appeals Affirms Bankruptcy Court Decision on Due Diligence
May 8, 2012 The JOBS Act: Reforms to the Capital Raising Process
May 7, 2012 SEC Confidential Review of Registration Statements After the JOBS Act
April 13, 2012 FTC Clears Express Scripts’ Acquisition of Medco
December 15, 2011 SEC’s New Restrictions on Policy of Reviewing Foreign Issuer Registration Statements
November 16, 2011 DOJ Victory in H&R Block/TaxACT Merger Challenge
July 21, 2011 Changes by the FTC and DOJ to HSR Filing Requirements
June 9, 2011 Dodd-Frank End-User Derivatives Update
May 31, 2011 SEC Adopts Dodd-Frank Whistleblower Rules
April 8, 2011 Q&A on Possible SEC Shut-Down
December 28, 2010 Proposed Rules for End-User Exception to Clearing of Swaps
August 26, 2010 SEC Adopts Proxy Access
August 4, 2010 U.S. Dodd-Frank Act: Implications for Foreign Private Issuers
July 28, 2010 The Dodd-Frank Wall Street Reform and Consumer Protection Act
July 28, 2010 Reform of the Swaps Market under the Dodd-Frank Act
July 27, 2010 Corporate Governance and Executive Compensation Provisions in the Dodd-Frank Act
July 6, 2010 Morrison v. National Australia Bank Ltd.
June 11, 2010 U.S. Supreme Court’s American Needle Decision
March 26, 2010 Decision on Chapter 11 by Court of Appeals for the Third Circuit
February 5, 2010 SEC Interpretive Release on Climate Change Disclosure
January 28, 2010 IRS Proposes Detailed Disclosure of Financial Statement Tax Reserves
January 28, 2010 IRS Provides Important Relief for 409A Documentary Compliance Failures
December 18, 2009 SEC’s Changes to Proxy and Form 10-K Disclosure Requirements
August 14, 2009 “Free-and-Clear” Sale or Credit Bid Under Section 363 of the Bankruptcy Code
July 2, 2009 SEC’s Proxy Disclosure Enhancements
July 1, 2009 SEC’s Amendment to NYSE Rule 452
May 14, 2009 U.S. Treasury’s TARP Program
April 30, 2009 Regulatory Reform of Financial Services