This Top Ten article discusses government enforcement-related updates impacting the health care industry in the United States.
This InfoPAK (now known as ACC Guides) gives a succinct overview of merger control, regulatory framework and regulatory authorities in France.
Overview Brazil's business environment. Includes discussion of tax law, legal system, investment law, intellectual property considerations, and marketing.
Is unethical behavior a reflection of an organization or its employees? Can a corporation be considered ethical? How does corporate culture affect the question of ethics? Reflect on these questions and others when considering an ethics program.
This QuickCounsel is a comprehensive guide that clearly defines what constitutes workplace bullying - and outlines how employers should respond to it.
This CMS e-Guide contains an overview of international arbitration practice and chapters on the law and practice of arbitration in the jurisdictions covered. It is equivalent to Volume I of the printed version of the CMS Guide to Arbitration.
This brief resource (QuickCounsel) speaks about employee behavior change management programs for Information Governance in the United States.
The scope of information to be held confidential is remarkably similar for all lawyers, no matter the country you practice in. The real differences are manifested in the exceptions to the duty of confidentiality and the applicability of the duty to in-house lawyers. The exceptions to confidentiality are generally (though not universally) broader in the United States. Do not always assume that US ethics law is the most protective. When it comes to confidential information relating to business crimes or fraud, for example, it often may not be. It is imperative to fully understand and properly analyze confidentiality and choice of law issues where foreign ethics law is involved.
In this Top Ten, learn tips as to how to organize your data protection practices. Now more than ever, companies are under pressure to create, implement, and maintain effective data protection plans.
When there is credible evidence that senior corporate management has engaged in illegal activity, what is the responsibility of the chief legal officer (CLO)? Congress, through its enactment of the Public Company Accounting Reform and Investor Protection Act of 2002 (SOX), has called upon CLOs in particular to be buffers against corporate abuse. This article addresses the limitations and failures of SOX, and suggests what can be done to empower CLOs.
This sample provides some basic but important guidelines to help you as you deal with the changing world of gathering and reporting news, and to provide additional guidance on specific issues.
The Centers for Medicare and Medicaid Services (CMS) has announced that it “fully expects” to reverse
Medicare Part B rate cuts for separately payable drugs acquired through the 340B Drug Pricing Program,
resulting in an estimated additional $1.96 billion for 340B hospitals. Learn more through this blog post released by Foley & Lardner.
This brief resource (Top Ten) outlines a list of ten practical suggestions for truly effective management of outside counsel spend.
President Joe Biden issued an executive order on Oct. 30, 2023 addressing the use of artificial intelligence by the government and employers.
Employers must take note that this action imposes new policies and affects civil rights issues and employment opportunities. This article provides an overview of the EO’s eight guiding principles.
Discuss recent international court decisions affecting in-house practice; Review recent Canadian court decisions affecting in-house practice; and learn how litigation tied to business practices, global change, social phenomena, regulatory goals, etc. are reshaping GCs’ focus.
What are the jurisdictional risks associated with global business? Is a parent company at risk of being sued based on the activities of a subsidiary company? Read this article to find answers to these pressing questions, among others.
This report is based on interviews with 100 finance directors, investment decision-makers and financial controllers in Europe’s largest life insurers. These firms represent 19% of the total European life insurance market. The research sample in this report includes leaders from the major markets of the UK, France, Germany and Italy, as well as some of the largest players from Austria, Belgium, the Netherlands, Spain and Switzerland. Interviews were conducted in July 2013.
This check card is a printable resource with practical tips on what not to do with competitors.
Printable wallet sized cards with practical advise about antitrust.
This report presents results on a subset of respondents from the Association of Corporate Counsel Chief Legal Officer (CLO) 2014 Survey, published in January 2014. More than 1,200 individuals in 41 countries who serve as the organization's chief legal officer or general counsel (referred to as CLO in this report) participated in this survey to provide a global outlook of CLOs worldwide. This report provides results and analysis of respondents from Canada, as well as demographic information, such as staffing, budget changes and revenue, while also exploring intangibles, such as CLOs' top legal and business concerns for the past 12 months and their anticipations for the future.
At this point, it’s hard to say whether privacy should be placed on the endangered or the extinct species list. Here’s how to ensure your company’s privacy policies help customers and other stakeholders really understand what they’re agreeing to give up.
In this updated infopak for 2018, we explore Canadian competition law, examining Canada’s Competition Act and appropriate case law. Canada’s Competition Act is similar in many respects to its U.S. counterpart, the Sherman Antitrust Act. However, there are important differences that American companies, doing business in Canada, must take into consideration.
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