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Arnold & Porter LLP New York, NY Document Search Results (14) Show: results per page Sort by:  | Tougher Restrictions on Telemarketing Calls Richard M. Firestone, Michael Levin; Arnold & Porter LLP;
Legal Alert/Article February 28, 2012, previously published on February 2012 The Federal Communications Commission (FCC) is changing its regulations under the Telephone Consumer Protection Act (TCPA), which governs the use of prerecorded calls or calls placed with an automated telephone dialing system (ATDS). The changes will apply to telemarketing calls and messages, but...
|  | Proposed FATCA Regulations: Some Significant Contacts Relief for Foreign Institutions, but Challenges Ahead Benjamin Berk, Ehab Farah, Cynthia D. Mann, Jennifer Tam, Bridget M. Weiss; Arnold Porter LLP;
Legal Alert/Article February 14, 2012, previously published on February 2012 On February 8, 2012, the Internal Revenue Service (IRS) and the Treasury Department released the highly anticipated proposed regulations (Proposed Regulations) that, when published in final form, would implement the withholding and information reporting provisions of the Foreign Account Tax...
|  | Medicare Shared Savings Program: Issues of Interest for Pharmaceutical and Medical Device Manufacturers Thomas A. Gustafson PhD, Jeffrey L. Handwerker, Kristin Hicks, Ariane M. Horn, Jeffrey R. Ruggiero; Arnold & Porter LLP;
Legal Alert/Article December 26, 2011, previously published on December 2011 As outlined in our previous Advisories, the Centers for Medicare & Medicaid Services (CMS) recently released its Final Rule implementing the Medicare Shared Savings Program (MSSP) for Accountable Care Organizations (ACOs). On the same day that CMS released the MSSP Final Rule, CMS and the...
|  | California Adopts Greenhouse Gas Cap-and-Trade Program Michael B. Gerrard, Karen J. Nardi, Maulik G. Shah; Arnold & Porter LLP;
Legal Alert/Article November 17, 2011, previously published on November 2011 On October 20, 2011, the California Air Resources Board (CARB) unanimously approved California’s greenhouse gas cap-and-trade regulations—a key measure to implement the state’s landmark AB 32 climate change legislation. The new carbon trading program is only one element of...
|  | Antitrust Issues For Accountable Care Organizations: Revised Agency Guidance Spotlights Possible Concerns Amy Ralph Mudge, Jeffrey R. Ruggiero, Asim Varma, Ryan Z. Watts, Barbara H. Wootton; Arnold & Porter LLP;
Legal Alert/Article November 16, 2011, previously published on November 2011 Antitrust risk presents challenging issues for healthcare providers structuring an Accountable Care Organization (ACO) under the Medicare Shared Savings Program (MSSP). The MSSP includes incentives to providers to collaborate to achieve savings for Medicare beneficiaries. Collaborations among...
|  | Agencies Propose Regulations Implementing Volcker Rule Alan W. Avery, A. Patrick Doyle, David F. Freeman, Daniel Waldman; Arnold & Porter LLP;
Legal Alert/Article October 18, 2011, previously published on October 2011 On October 11 and 12, 2011, the Federal Reserve, Federal Deposit Insurance Corporation (FDIC), Office of the Comptroller of the Currency (OCC), and Securities and Exchange Commission (SEC) proposed a common set of rules to implement Section 619 of the Dodd Frank Wall Street Reform and Consumer...
|  | Federal Reserve Issues Regulations Governing Savings and Loan Holding Companies Alan W. Avery, Beth S. DeSimone, A. Patrick Doyle, Brian P. Larkin; Arnold & Porter LLP;
Legal Alert/Article October 13, 2011, previously published on October 2011 On September 13, 2011, the Board of Governors of the Federal Reserve System (Board) issued an interim final rule, Regulation LL, governing the activities of savings and loan holding companies (SLHCs). As of July 21, 2011, the regulation and supervision of SLHCs and their nondepository subsidiaries...
|  | FDIC Finalizes Dodd-Frank Act Living Will Requirements for Systemically Important Companies Alan W. Avery, Beth S. DeSimone, A. Patrick Doyle, Jeremy W. Hochberg; Arnold & Porter LLP;
Legal Alert/Article October 7, 2011, previously published on October 2011 On September 13, 2011, the Federal Deposit Insurance Corporation (FDIC) approved a Final Rule that requires certain bank holding companies, foreign banks or companies, and systemically important nonbank financial companies, to periodically submit resolution plans, or “living wills,”...
|  | Proposed Federal Cybersecurity Legislation: A New Landscape for Regulation of Data Security and Security Breach Notifications Marcus A. Asner, James D. Flynn, Ronald D. Lee, Nancy L. Perkins; Arnold & Porter LLP;
Legal Alert/Article October 6, 2011, previously published on October 2011 Recent high-profile data security breaches at the International Monetary Fund, Pentagon and US Senate, and companies like Google, Sony, and RSA—to name a few—have elevated concerns about vulnerabilities in the nation’s cybersecurity in both the public and private sectors....
|  | International Implications of New FINRA Registration Rules for Securities Back Office Personnel Monique Anne Gaylor, Ramon P. Marks, Grace Pickering, Andrew J. Shipe, D. Grant Vingoe; Arnold & Porter LLP;
Legal Alert/Article September 12, 2011, previously published on August 2011 On October 17, 2011, the Financial Industry Regulatory Authority’s (FINRA) Rule 1230(b) (6) regarding “Operations Professionals” will take effect, imposing registration, qualification, and continuing education requirements on a wide range of people involved in the clearing and...
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