Private Equity


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  • Asset Management 2025

    Online Learning

    Submitted: 13 September 2018

    We’re partnering with Bloomberg to conduct a study into the outlook of the global asset management landscape. Please note the survey has now closed. Asset Management 2025 results released October 2018

  • Legal Headwinds: Asia - Quarterly Report - Q3 2018 Restricted access


    Submitted: 10 August 2018

    The Q2 2018 edition of Legal Headwinds focuses on key legal and regulatory developments relevant to financial institutions operating in China, Hong Kong and Singapore.

  • Increased focus of tax authorities on transfer pricing valuation


    Submitted: 08 August 2018

    ​Clive Jie-A-Joen, Liu Lu and Fan Bai examine recent TP developments that are relevant for the arm's-length pricing of transactions of intangibles and other items of value between group entities resulting from business restructuring. Each of these developments is specific and can be useful considering the specific facts and circumstances of the case at hand.

  • BEIS White Paper on National Security and Investment


    Submitted: 06 August 2018

    A high-level overview of the key proposals by the Department for Business Energy and Industry Strategy (BEIS) in its White Paper to change the UK public intervention regime for national security mergers.

  • Autumn Legal Update 2018


    Event date: 03 October 2018

    Join us on Wednesday 03 October 2018 or Thursday 04 October 2018 for our 14th Autumn Legal Update. The day offers you the opportunity to hear about a broad range of topical issues from lawyers across many disciplines.

  • Parental Liability: Goldman Sachs v Commission (T-419/14)


    Submitted: 17 July 2018

    ​The General Court of the European Union handed down its judgment on 12 July 2018 confirming a €37m fine against the Goldman Sachs Group Inc, in a growing trend towards a broad application of parental liability in EU competition law.

  • UAE securities regulator to issue circular extending grace period for local promoters Restricted access


    Submitted: 12 July 2018

    The UAE Securities & Commodities Authority (the SCA), the securities sector financial services regulator in onshore UAE, recently issued a notice advising that the grace period given to local promoters of securities (including foreign mutual funds) to obtain a promoter’s licence from the SCA, expired on 28 June 2018. This article summarises the effect of the notice and potential next steps.

  • Extension of SMCR: The FCA’s “near final” rules on extension of the Senior Managers and Certification Regime to FCA solo-regulated firms


    Submitted: 04 July 2018

    On 04 July 2018, the Financial Conduct Authority (FCA) published the “near final” rules on the extension of SMCR to all FCA firms. We highlight immediate points of interest for FCA solo-regulated firms below.

  • CP18/19: the FCA’s proposal for a new public directory


    Submitted: 04 July 2018

    The FCA consults on the proposal to introduce a new public register for checking the details of key individuals working in financial services.

  • Extending the SMCR to insurers - a brief summary of the main points


    Submitted: 04 July 2018

    Today, 04 July 2018, the Financial Conduct Authority (FCA) published the “near final” rules on the extension of SMCR to all FCA firms and the PRA updated Supervisory Statement 28/15. We highlight immediate points of interest for insurers below.

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