Nguyen v. View, Inc., C.A. No. 11138 (Del. Ch. 6/6/17). The Delaware Chancery Court ruled that Sec. 204 could not be used to validate actions taken by a corporation in pursuing a round of preferred stock financing that was declared void because the majority stockholder revoked his consent to the financing transaction.
Georgia House Bill 192 deals with duties of directors and officers of corporations and bank and trust companies.
International agreements can vary greatly, but a typical provision is the appointment of an agent for service of process or “Process Agent.”
Deregulations of the financial sector is a priority in this new presidential term. This paper looks at what deregulation can mean and how to take advantage.
Tuesday, September 12, 2017 - 1PM (ET) No matter the size or nature of the deal, compliance requirements can be daunting and complex. In this webinar, we will review the background and current landscape for deals
To help you stay ahead of the fray, here are eight important compliance best practices for M&A transactions to keep your business in compliance.
In 2016, the impressive growth of REITs compelled S&P Dow Jones Indices and MSCI Inc. to name Real Estate the eleventh GICS stock classification. Learn more.
Though Brexit caused immediate global financial panic, it’s business as usual for international finance activity. Learn more.
With any deal, large or small, performing due diligence helps ensure you’re making the right decision for your business. Our infographic walks you through the steps.
Learn the most common concerns dealmakers face when closing a merger or an acquisition, and how M&A due diligence services can help avoid potential problems.