Corporate Governance

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Morrison & Foerster advises public and private companies and their management, officers and directors on:

  • “best practices” for boards and board committees;
  • Sarbanes-Oxley Act governance requirements;
  • governance requirements of securities exchanges;
  • director and officer fiduciary duties and responsibilities;
  • board/management issues, including conflicts of interest, related party transactions and executive compensation;
  • board and committee governance matters, including charters, programs and policies, self evaluations, codes of conduct, and executive succession planning;
  • enterprise-wide compliance and risk management programs;
  • public company disclosure issues and related liability considerations;
  • shareholder relations (including shareholder communications, responding to shareholder proposals, dealing with shareholder activists, institutional corporate governance advisors, and shareholder advisory firms);
  • proxy contests and other corporate control efforts
  • special committee representation and internal investigations

Our Public Companies and Securities practice is co-headed by David Lynn, a former Chief Counsel of the Division of Corporation Finance at the U.S. Securities and Exchange Commission, and co-editor of TheCorporateCounsel.net, where he co-authors one of the most widely read blogs on securities, governance, and corporate law matters, including breaking developments on Delaware corporation law.

 

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