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    HFW Disputes Digest 2023
    2024-01-08

    HFW DISPUTES DIGEST 2023

    Welcome to the second annual Disputes Digest, in which we collate our 2023 global HFW LITIGATION and International Arbitration publications in one place.

    This edition includes updates from across our Disputes arena, including England and Wales, BVI, AsiaPac, and the Middle East.

    Filed under:
    European Union, Global, Hong Kong, Singapore, United Kingdom, USA, Arbitration & ADR, Banking, Capital Markets, Company & Commercial, Compliance Management, Derivatives, Environment & Climate Change, Healthcare & Life Sciences, Insolvency & Restructuring, IT & Data Protection, Litigation, White Collar Crime, HFW, Know your customer, Blockchain, Employee Retirement Income Security Act 1974 (USA), Advertising, Climate change, Supply chain, Mediation, Fintech, Due diligence, Carbon neutrality, Cryptocurrency, ESG, Litigation funding, Anti-money laundering, Non-fungible tokens, Metaverse, Anti-bribery and corruption, Greenwashing, US Securities and Exchange Commission, Financial Conduct Authority (UK), Barclays, Consumer Financial Protection Bureau (USA), Google, European Council, Commodity Futures Trading Commission (USA), Competition and Markets Authority (UK), HSBC, Monetary Authority of Singapore, Bank of England, Singapore International Arbitration Centre, FTX, Silicon Valley Bank, Arbitration Act 1996 (UK), Federal Arbitration Act 1926 (USA), Financial Services and Markets Act 2000 (UK), UK Supreme Court
    Location:
    European Union, Global, Hong Kong, Singapore, United Kingdom, USA
    Firm:
    HFW
    In Focus: 2022 and The Year Ahead for European Private Capital
    2023-01-17

    As we start the new year, we take a look back at some of our highlights from 2022, and offer our view for 2023.

    Filed under:
    European Union, Global, United Kingdom, Capital Markets, Competition & Antitrust, Corporate Finance/M&A, Insolvency & Restructuring, Real Estate, Tax, Ropes & Gray LLP, Foreign direct investment, Value added tax, ESG, Competition and Markets Authority (UK), Sustainable Finance Disclosure Regulation (2019/2088/EU)
    Location:
    European Union, Global, United Kingdom
    Firm:
    Ropes & Gray LLP
    "Taking the Keys": Six things to consider for credit investors contemplating share pledge enforcement
    2022-11-08

    Rises in energy costs, disruption to global supply chains, the situation in Ukraine, soaring inflation and higher interest rates are pushing several major European economies towards recession. Borrowers and issuers in the leveraged loan and high yield markets are feeling the impact and the benign refinancing conditions of 2021 are long gone. The natural consequence is rising default rates – S&P's global corporate default count for 2022 surpassed 2021's year-to-date tally during September.

    Filed under:
    European Union, Banking, Insolvency & Restructuring, Trade & Customs, White & Case, Foreign direct investment, Supply chain, Due diligence, Competition and Markets Authority (UK)
    Authors:
    Gareth Eagles , Will Stoner , Dorothea James
    Location:
    European Union
    Firm:
    White & Case
    Dispute Resolution round-up - October 2022
    2022-10-13

    Welcome to the eighth edition of our quarterly disputes newsletter, which covers key developments in the dispute resolution world over the last three months or so.

    Filed under:
    European Union, United Kingdom, Arbitration & ADR, Company & Commercial, Competition & Antitrust, Environment & Climate Change, Insolvency & Restructuring, Law Firm Management, Legal Practice, Litigation, Public, Travers Smith LLP, Corporate governance, Brexit, Blockchain, Mediation, Cryptocurrency, Force majeure, ESG, Non-fungible tokens, European Commission, Competition and Markets Authority (UK), House of Lords, HSBC, Pfizer, Arbitration Act 1996 (UK), Limitation Act 1980 (UK), Competition Act 1998 (UK), UK Supreme Court
    Authors:
    Rob Fell
    Location:
    European Union, United Kingdom
    Firm:
    Travers Smith LLP
    UK REIT Horizon Scanner Q4 2021
    2021-10-18

    UK REIT Horizon Scanner Q4 2021

    UK REIT Horizon Scanner Q4 2021

    Key Issues

    Key issues coming up for UK Main Market REITs in corporate, financial regulatory, planning, real estate, securities law and regulation and tax1 in England (including retained EU law2).

    Issue/status/timing: New developments since our March 2021 edition are shown in green text. Impact: urgency/impact rating for REITs admitted to London Stock Exchange Main Market (including the Specialist Fund Segment3)

    Filed under:
    European Union, United Kingdom, Capital Markets, Company & Commercial, Competition & Antitrust, Employment & Labor, Environment & Climate Change, Insolvency & Restructuring, Planning, Public, Tax, White Collar Crime, Taylor Wessing, Corporate governance, Brexit, Libor, Modern slavery, Climate change, Electric vehicle, Supply chain, Money laundering, Mediation, Gender pay gap, ESG, Coronavirus, Commercial tenant, Anti-money laundering, Cladding, SPAC, HM Revenue and Customs (UK), UK House of Commons, Competition and Markets Authority (UK), House of Lords, Bank of England, European Securities and Markets Authority, MiFID, Modern Slavery Act 2015 (UK), American Rescue Plan Act 2021 (USA)
    Location:
    European Union, United Kingdom
    Firm:
    Taylor Wessing
    Corporate Insurance Newsletter - January 2020
    2020-02-06

    The Hogan Lovells’ Corporate Insurance Newsletter for January 2020 has been published. This provides a round-up of UK, EU and international regulatory developments relevant to UK based insurance market participants. In this issue, amongst other items, we cover:

    Filed under:
    European Union, United Kingdom, Environment & Climate Change, Insolvency & Restructuring, Insurance, IT & Data Protection, Public, Hogan Lovells, Financial Conduct Authority (UK), European Commission, Financial Stability Board, Competition and Markets Authority (UK), European Insurance and Occupational Pensions Authority, Bank of England, International Association of Insurance Supervisors, Solvency II Directive (2009/138/EU)
    Location:
    European Union, United Kingdom
    Firm:
    Hogan Lovells
    Stephenson Harwood's commercial and tech update - February 2019
    2019-03-05

    Welcome to this month's edition of our commercial and tech update, covering a wide range of topics from Facebook's lacklustre approach in dealing with IP infringement to further confirmation on the Courts' approach to liquidated damages.

    (Mis)Adventures in advertising

    Filed under:
    European Union, United Kingdom, USA, Competition & Antitrust, Copyrights, Designs and trade secrets, Insolvency & Restructuring, Internet & Social Media, Litigation, Media & Entertainment, Patents, Public, Trademarks, Stephenson Harwood LLP, Brexit, Competition and Markets Authority (UK)
    Authors:
    Dan Holland , Anita Basi , David Berry , Michelle Gomes , Katie Hewson , Naomi Leach , Alison Llewellyn
    Location:
    European Union, United Kingdom, USA
    Firm:
    Stephenson Harwood LLP
    Duty on Directors to Show They Acted Responsibly
    2016-05-24

    In McAteer & anor v McBrien & ors [2016] IEHC 229, the High Court made an order restricting three directors pursuant to Section 150 of the Companies Act 1990 (now Section 819 of the Companies Act 2014).  The first named respondent (A) was the husband of the second named respondent (B) and father of the third named respondent (C) and all were directors of the Company on the date of the liquidation.

    Background

    Filed under:
    Ireland, Company & Commercial, Insolvency & Restructuring, Litigation, A&L Goodbody, Investment funds, European Commission, Competition and Markets Authority (UK)
    Authors:
    Paula Mullooly
    Location:
    Ireland
    Firm:
    A&L Goodbody
    Professional advisors - the implications of the Work and Pensions and BEIS Committees’ report into Carillion
    2018-05-23

    ​We consider the implications of the Work and Pensions and BEIS Committees’ report into Carillion, which highlights a lack of “meaningful competition” in the statutory audit market and recommends a reference to the Competition and Markets Authority.

    Summary

    Filed under:
    United Kingdom, Competition & Antitrust, Insolvency & Restructuring, Simmons & Simmons, Competition and Markets Authority (UK), Financial Reporting Council, Department for Work and Pensions (UK), Carillion
    Authors:
    Tom Fyfe , Peter Broadhurst , Kirsty Oliver
    Location:
    United Kingdom
    Firm:
    Simmons & Simmons
    Frames of reference: CMA publishes fines against online sports poster retailer for resale price maintenance
    2016-10-24

    On 30 September 2016, the Competition and Markets Authority (“CMA”) published its finding that two companies involved in the online retail of licensed sport and entertainment posters and frames had breached the Competition Act 1998 (“CA98”) by entering into agreements (or, at least, ‘concerted practices’) to artificially inflate the prices charged for certain products. A formal charge was accepted by the main protagonist, Trod Limited (in administration) (“Trod”) and fines imposed, which became payable by Trod’s administrators as of 13 October 2016.

    Filed under:
    United Kingdom, Competition & Antitrust, Insolvency & Restructuring, Internet & Social Media, Charles Russell Speechlys, Competition and Markets Authority (UK), Competition Act 1998 (UK)
    Authors:
    Rory Ashmore
    Location:
    United Kingdom
    Firm:
    Charles Russell Speechlys

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