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Public Companies & the Law

The issues facing public companies change rapidly. Our Public Companies & the Law blog helps companies and their management, board members and in-house counsel stay one step ahead. 

SEC Proposes Full Rescission of Climate-Related Disclosure Rules
Blog June 01, 2026
The Commission’s May 2026 proposal to withdraw its landmark climate disclosure regime marks a decisive shift in federal ESG rulemaking—with significant strategic implications for public companies, investors, and legal counsel navigating a fragmented disclosure landscape…
Cannabis Rescheduling and the Path to U.S. Exchange Listings: What Management Teams Need to Know Now
Blog May 28, 2026
The federal regulatory landscape governing cannabis in the United States is undergoing its most significant transformation in over fifty years…
SEC Proposes Optional Semiannual Reporting on New Form 10-S
Blog May 06, 2026
On May 5, 2026, as previously previewed, the SEC proposed an option that would allow domestic Exchange Act reporting companies to file a single semiannual report on new Form 10-S instead of three quarterly reports on Form 10-Q…
SEC Issues Exemptive Order Permitting Shortened Tender Offer Periods
Blog April 21, 2026
On April 16, 2026, the Office of Mergers and Acquisitions within the SEC’s Division of Corporation Finance issued a significant exemptive order that permits certain tender offers for equity securities to remain open for as few as 10 business days, rather than the standard 20 business days required under Exchange Act Rules 13e-4(f)(1)(i) and 14e-1(a)…
SEC Extends Section 16(a) Reporting to FPI Directors and Officers and Grants Conditional Relief in Six Jurisdictions
Blog March 11, 2026
The SEC has adopted a final rule implementing the Holding Foreign Insiders Accountable Act that, effective March 18, 2026, subjects directors and officers of foreign private issuers to the insider ownership reporting regime of Exchange Act Section 16(a) on Forms 3, 4, and 5…
Change on the Way: SEC Reiterates Commitment to Disclosure Reform
Blog February 19, 2026
Last week, James Moloney, Director of the SEC’s Division of Corporation Finance, released a statement reiterating the Division’s general commitment to disclosure reform on an expedited timeline…
JPMorgan’s Split With Proxy Advisers: A Harbinger for the 2026 Proxy Season
Blog January 07, 2026
In an industry-first move, the Wall Street Journal reports that JPMorgan Chase’s asset‑management arm has cut all ties with the major proxy advisory firms, effective immediately, according to an internal memo cited by the paper…
White House Weighing Limits on Proxy Advisers and Index-Fund Voting
Blog November 14, 2025
As reported by the Wall Street Journal, the White House is considering executive actions that would restrict the influence of proxy advisory firms and index-fund managers…
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ABOUT

We know that the issues facing public companies change rapidly, and we cover the topics that we know are on the minds of management, board members and in-house counsel. Attorneys from Foley Hoag’s Capital Markets practice provide updates on new and proposed regulations, analysis of interpretive guidance, best practices on governance issues as well as reminders on disclosure and compliance obligations that will keep you on track.