Don't miss out! Sign up today for our weekly newsletters and stay abreast of important GRC-related information and news.
The Filing Cabinet

"The Filing Cabinet," which covers compliance with the Dodd-Frank Act and the Sarbanes-Oxley Act, as well as other regulatory action from the Securities and Exchange Commission, executive compensation, and shareholder activism, is written by CW staff writer Joe Mont. Mont welcomes questions, comments, and statements from readers on SEC filing matters and will address them here when appropriate. Readers can contact him at joe.mont@complianceweek.com.
1 results found, filtered by:
-
The Filing Cabinet Blog
Proxy Advisers Get New SEC Guidance on Conflict Disclosure
Joe Mont | July 8, 2014
Amid growing scrutiny of proxy advisory firms and concerns about their influence over corporate governance matters and the potential for conflicts of interest, the Securities and Exchange Commission has issued new guidance. It addresses conflicts, disclosure exemptions, and the use of these firms by investment managers voting on behalf of clients.
Displaying 1 result