News & Press Releases
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Market Advised to Proceed With Fund Names Rule Compliance
October 18, 2023
ESG Co-chair Jacob Hupart was quoted in an IFLR article focused on the guidance that advisers are giving their clients in response to the SEC's fund names rule.
SEC's Supply Chain Climate Disclosure Proposal May Be Tweaked, Securities Attorneys Say
September 18, 2023
National Law Journal spoke to Members David Adams and Jacob Hupart on the SEC’s proposed Climate Rule and the rocky future facing Scope Three, its planned requirements for public companies to disclose greenhouse emissions produced in their supply chains.
ESG Mandates For Banks May Bring Compliance Challenges
August 2, 2023
Members Keith Kollmeyer and Jacob Hupart and Associate Ellen Shapiro co-authored an article published by Law360 analyzing the implications of ESG mandates for banks.
OpEd: Navigating Fiduciary Duties Amid The Rise Of Anti-ESG Rulemaking
February 14, 2023
Members Douglas P. Baumstein, Jacob H. Hupart and Associates Will G. McKitterick and Ellen Shapiro authored an article for The Deal discussing divides amongst state legislations regarding the implementation of ESG factors in investment decisions.
'Caremark' Liability Following The SEC's New ESG Reporting Requirements
December 15, 2022
Members Douglas P. Baumstein, Jacob H. Hupart, and Securities & Capital Markets Chair and Life Sciences Co-Chair Jonathan L. Kravetz, and Associates Will G. McKitterick and Ellen Shapiro authored an article for the New York Law Journal analyzing the role corporate boards play in monitoring and overseeing a company's operations, particularly in light of the SEC's imminent ESG disclosure rules.
4 Takeaways From DOL's Socially Conscious Investing Rule
November 23, 2022
Mintz Member Jacob Hupart spoke to Law360 about the U.S. Department of Labor's new regulations which intend to alleviate retirement plans' fears about considering environmental, social and governance factors when investing.
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