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February 10, 2023
SEC Releases Staff Bulletin on Differential Advisory Fee Waivers
February 9, 2023
Wealth Management M&A Discussion: What is the landscape for wealth management M&A in the current environment?
February 7, 2023
OFAC Issues Determination and Guidance For Additional Russian Petroleum Products Price Caps
February 7, 2023
Seward & Kissel Releases Litigation Group 2022 Year in Review
February 6, 2023
SEC Updates for the Upcoming 2022 Annual Reports on Form 10-K and Form 20-F
February 6, 2023
SEC Settles Charges with Security Valuation Provider for Providing Misleading Disclosures About Its Valuation Methodologies
February 2, 2023
Seward & Kissel Releases Business Transactions Group 2022 Year in Review
January 30, 2023
FDIC Extends Comment Period on Rule Imposing Additional Deposit Insurance Disclosure Obligations
January 30, 2023
Economic Sanctions and the Russian Oil Price Cap Policy
January 27, 2023
Seward & Kissel attorneys co-authored a chapter for the ICLG – ESG Law 2023 titled “U.S. Legal and Compliance Issues Relating to ESG for Private Fund Advisers”
January 26, 2023
New HSR Filing Thresholds and Fee Schedule
January 26, 2023
Macro Headwinds in 2022: How has the GP Stakes industry been affected?
January 25, 2023
Investment Adviser Charged for Failing to Disclose Revenue Sharing Arrangements and Related Conflicts of Interest
January 20, 2023
DOL Publishes Final Rule Regarding ESG Investing and Proxy Voting
January 19, 2023
Fed Calls for Banks to Disclose Climate Change Risk Assessment
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