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Firm Memoranda

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07.23.2008 Mandatory Shareholder Proposals - CA, Inc. v. AFSCME Employees Pension Plan
07.21.2008 Corporate Governance Update: Corporate "Clawback" Provisions
07.16.2008 SEC Issues Emergency Order Temporarily Regulating Short-Sales of Certain Financial Institutions' Securities
07.14.2008 SEC Proposes Expanding Rule 15a-6 Exemption for Foreign Broker-Dealers Doing Business in the United States
07.01.2008 Recent Cross-Border Insolvency Cases and What They Mean
07.01.2008 SEC Grants One Year Postponement of §404(b) Attestation Report Requirement For Non-Accelerated Filers
07.01.2008 Metropolitan Life Insurance Co. v. Glenn: “Conflict of Interest" is a Factor in Reviewing An ERISA Plan Administrator’s Denial of Benefits
07.01.2008 Section 16 Reporting Update: SEC Allows Aggregate Form 4 and Form 5 Reporting of Same-Day, Same-Way Open Market Transactions
06.26.2008 FASB Proposes Expanded Disclosure of Litigation and Certain Other Loss Contingencies
06.23.2008 SEC Interprets Section 3(a)(10) Exemption from Registration Requirements of the Securities Act of 1933 and Resale Status of Securities that are Received in Section 3(a)(10) Exempt Transactions
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