Russell McVeagh

New Zealand's premier law firm

Publications

Publications

Corporate Advisory Legal Update

FMC Bill submission to MED

Documents

24 April 2013
Anti-Money Laundering and Countering Financing of Terrorism Act 2009

22 April 2013
Law Commission reviews "Joint and Several Liability Rule"

24 January 2013
Directors' duties highlighted in Pike River report and James Hardie directors' appeals

14 January 2013
Consultation on Financial Markets Conduct Regulations

3 December 2012
Unsolicited Offers - The Regulatory Response

5 July 2012
Financial Markets Authority Guidance Note: Effective Disclosure

21 June 2012
Regulation of Unsolicited Offers

5 June 2012
Consultation on Listing Rules Amendments - Russell McVeagh submission

18 May 2012
Directors’ Duties: James Hardie

15 March 2012
Lombard - level of disclosure insufficient to avoid misleading investors

17 February 2012
Judicial review of Crafar farms overseas investment consent

8 November 2011
Companies and Limited Partnerships Amendment Bill

31 October 2011
Financial Markets Conduct Bill Introduced to Parliament

18 July 2011
Directors' Duties

25 February 2011
Nuplex Settlement

8 October 2010
Infrastructure and PPP Alert

23 September 2010
Schemes of Arrangement

16 September 2010
Financial Markets Authority Legislation Introduced

4 August 2010
Feltex Decision Released

29 June 2010
Securities Law Review

30 April 2010
Financial Markets “Super Regulator” Announcement

11 November 2009
Insurance (Prudential Supervision) Bill Introduced to Parliament

29 July 2009
Securities Disclosure and Financial Advisers Amendment Bills Passed

24 July 2009
Overseas Investment regime to be streamlined

23 April 2009
Proposed Changes to Securities Regulations

23 March 2009
Proposed Changes to NZX’s Listing Rules

25 February 2009
Government Responds to the Economic Downturn - Securities Disclosure and Financial Advisers Amendment Bill

2 December 2008
Changes Proposed by the Capital Markets Development Taskforce and NZX

2 December 2008
Directors’ certificates under section 37A(1A) of the Securities Act

29 November 2008
Financial Advisers Act 2008

1 September 2008
Takeovers Panel Update

29 August 2008
Infrastructure Update August 2008

15 August 2008
Personal Accountability of Directors, Advisors and Others for Securities Markets Act and Takeovers Code Breaches

6 August 2008
Amendments to Directors and Officers Disclosure Rules

3 July 2008
Corporate Advisory Legal Update July 2008 - Update on the Mutual Recognition of Securities Offerings in Australia and New Zealand

27 May 2008
Corporate Advisory Legal Update May 2008 - Limited Partnerships

10 April 2008
Corporate Advisory Legal Update April 2008 - Financial Advisors Bill

3 April 2008
Corporate Advisory Legal Update April 2008 - Prudential regulation of the insurance sector

1 April 2008
Corporate Advisory Legal Update April 2008 - Insider Trading – Tipping to hold securities

6 February 2008
Corporate Advisory Legal Update February 2008

19 June 2007
Corporate Advisory Legal Update June 2007

6 July 2006
Corporate Advisory Legal Update July 2006

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