H.S. Grace & Company, Inc.

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Defining the Difference
Defining the Difference

Periodically, H.S. Grace & Company, Inc. shares its thinking on legal, corporate governance and business issues with interested clients and friends. Past communications can be accessed below.

 

Analysis of Risk Disclosures and Due Diligence Claims
Under Section 11 of the Securities Act of 1933

 

SEC Issues Whistleblower Rules -
Uncertain Future for Internal Control Systems

 

Breach of Fiduciary Claim Against Directors and Officers
of Bankrupt Corporation Alter Ego, Single Business Enterprise
and Agency Theories to Extend Liability to Large Investor in
Bankrupt Corporation

 

Complex Financial Transaction Issues - Part II

 

Complex Financial Transaction Issues

 

Mergers and Acquisitions

 

Corporate Control Issues

 

Healthcare Governance: The Next Litigation Wave?

 

Defending a Derivative Lawsuit

 

Real Estate Partnership Dispute

 

Using Corporate Governance Expert Testimony

 

Breach of Fiduciary Duty
Claims against directors in bankruptcy


Breach of Agreement: Two Energy Cases

 

Securities Fraud, 1934 Act

 

Embezzlement: Bank Liability

Role of governance and control processes

 

General Partnership Dispute

 

Corporate Governance: Macro vs. Micro Part II

 

Corporate Governance: Macro vs. Micro Part I

 

Minority Shareholder Rights

 

Hedge Fund: Investment Concerns

 

Healthcare Plan Claims

 

Restraint of Trade: David vs. Goliath

 

Liability for Providing Financial Capability Information
Sports franchise sale


Breach of Contract: Creative Services

 

Securities Class Action Lawsuit

 

D&O Policy: Change of Control Provision
Cancellation of Employee Stock Options


Fraud: Derivatives Scheme

 

Bankruptcy Trustee vs. D&Os
Breach of Fiduciary Duty Claims


Offshore Bankruptcy

 

Detrimental Split-Off Transaction

 

Dot Com Bankruptcy