Antitrust & Merger Control

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  • Standing in the eye of the tax storm: seminar recording

    Seminar

    Submitted: 27 January 2015

    The recent tax storm whipped up by the leaked publication of hundreds of private tax rulings given by the Luxembourg tax authorities has been unprecedented. A panel of our leading competition and tax law experts from Belgium, the UK, Luxembourg and the Netherlands talk through the EU state aid and tax issues.

  • Competition law compliance programmes: best practices and practical tips Restricted access

    Seminar

    Last Reviewed: 07 January 2015 / Submitted: 07 January 2015

    Developing and implementing effective competition law compliance policies and programmes in Asia.

  • Competition Investigations: practical tips Restricted access

    Conference Call

    Submitted: 19 November 2014

    Speakers from across the Simmons & Simmons network cover the key practical considerations arising in Competition Investigations; covering the conduct of internal investigations; handling Dawn Raids and information requests; the criminal cartel offence; immunity and leniency applications; and the co-ordination of multiple country, and multiple regulator, investigations.

  • We don’t need to think about merger control … do we? How small does a minority stake need to be to avoid merger control? Restricted access

    Seminar

    Submitted: 08 October 2014

    Video recording and slides available from a session held as part of our CPD Day on 8th/9th October 2014. As the European Commission seeks jurisdiction to review ever-smaller investment stakes, this talk explores the various levels at which merger control can bite in relation to minority shareholdings.

  • The increasing importance of competition law to financial services organisations: a pan-European perspective Restricted access

    Seminar

    Submitted: 08 October 2014

    Video recording and slides available from a session held as part of our CPD Day on 8th/9th October 2014. This session explores the ever increasing level of scrutiny and enforcement action by the competition authorities in Europe in relation to financial services, and consider the implications for and the impact that this is having on the businesses of financial institutions, large and small.

  • Dos and don'ts in international investigations Restricted access

    Seminar

    Submitted: 08 October 2014

    Video recording and slides available from a session held as part of our CPD Day on 8th/9th October 2014. This session covers practical issues in carrying out internal investigations, and how financial institutions can manage their risks across a number of areas, such as privilege, cross-border issues, self-reporting, related employment obligations and increasing criminal liability. We also spend some time looking at the implications of recent international financial regulatory and competition investigations.

  • M&A in the Middle East: opportunities and challenges Restricted access

    Webinar

    Submitted: 07 July 2014

    This webinar considers the opportunities and challenges of conducting M&A in the Middle East.

  • TMT Sector Legal Update 2014 Restricted access

    Conference

    Submitted: 07 May 2014

    Slides for our seventh annual TMT sector legal update held on Thursday 08 May 2014.

  • IFML Competition conference call Restricted access

    Conference Call

    Submitted: 30 April 2014

    The call considered the practical implications, difficulties and areas of doubt facing financial institutions as a result of the greater focus of the competition authorities in Europe and elsewhere on the application of competition law in relation to financial services.

  • Investigations Briefing Restricted access

    Conference Call

    Submitted: 14 March 2014

    Planning and preparing for a global investigation in a new heightened risk management environment

41 to 50 of 63