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  • Client Alert
February 7, 2012

Telecommunications carriers and interconnected VoIP providers must comply with strict rules for the protection of Customer Proprietary Network Information (CPNI), including the requirement to file a CPNI certification with the FCC each year that documents compliance with the rules.

February 6, 2012

The U.S. Department of Labor (the “DOL”) issued final regulations on February 2, 2012 regarding the service provider disclosure requirement for retirement plans. In addition to this disclosure requirement, the DOL had previously issued final regulations regarding the separate participant disclosure requirement.

January 27, 2012

Under the Patient Protection and Affordable Care Act of 2010 (“PPACA”), employers must include the cost of their group health plan coverage on employees’ Forms W-2. This reporting requirement is intended to be informational only and will not affect the amount includable in an employee’s income.

January 27, 2012
January 24, 2012
Many predicted that the SEC would adopt final rules for the remaining provisions of the Dodd-Frank Act before the end of 2011. Obviously, that did not happen. The SEC recently updated its implementation timetable with respect to these remaining items. For more information, read the client alert.
December 27, 2011

The Federal Communications Commission’s (FCC’s) Report and Order reforming the Universal Service Fund (USF) and intercarrier compensation (ICC) regimes (Transformation Order) was published in the Federal Register on November 29, 2011, thereby establishing an effective date of December 29, 2011 for most of the rules promulgated in the Transformation Order.

December 22, 2011

On November 29, 2011 the Federal Communications Commission’s (FCC’s) Report and Order reforming the Universal Service Fund (USF) and intercarrier compensation (ICC) regimes was published in the Federal Register, thereby establishing an effective date of December 29, 2011 for most of the rules promulgated in the FCC’s Order.

October 25, 2011
2012 COLA Chart
September 21, 2011
Yesterday marked the effectiveness of an amendment to the SEC’s shareholder proposal rules found in Rule 14a-8 (the Amendment), which was adopted by the SEC as part of its proxy access regime. For more information, read the client alert.
August 1, 2011

Effective July 15, 2011, New York's new hire reporting requirements now require employers to provide additional information concerning dependent health insurance coverage provided to New York employees.

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