| 1 | Corporate Manslaughter and Corporate Homicide Act 2007: a ... This quick guide provides a brief summary of the Corporate Manslaughter and Corporate Homicide Act 2007. For a more detailed analysis of the Act, see Practice note, Corporate Manslaughter and Corporate Homicide Act 2007. This is one of a series of quick guides, see Quick guides. | Practice note: overview | Maintained |
| 2 | Directors: issues for employment lawyers This overview, designed for employment lawyers, summarises the key company law issues relating to directors. Links are provided to more detailed information in relevant practice notes and standard documents. | Practice note: overview | Maintained |
| 3 | Directors: toolkit for employment lawyers A toolkit to guide users around PLC Employment materials on the employment and company law aspects of the role of director. This includes materials on the appointment of directors and their service agreements, as well as dismissal of directors and severance payments. | Practice note: overview | Maintained |
| 4 | Overview of directors' health and safety responsibilities An overview of the law on health and safety obligations in England and Wales which outlines when a director can be held liable for health and safety failures, recent developments in health and safety policy and how these affect directors' and senior managers' liabilities. The note also considers the practical steps which can help directors and their companies to comply with their legal duties. | Practice note: overview | 24-Nov-2010 |
| 5 | Acting for an employee entering into an employment contract A note of the issues to consider when acting for an employee entering into an employment contract. | Practice notes | Maintained |
| 6 | Companies Act 2006 and Transparency Directive: timeline of ... A timeline of implementation of the various provisions of the Companies Act 2006 (Act) and the Transparency Directive (2004/109/EC). | Practice notes | 01-Oct-2009 |
| 7 | Companies Act 2006: contracts with sole members who are ... A quick guide to the rules under the Companies Act 2006 governing contracts with sole members who are also directors. | Practice notes | 01-Oct-2008 |
| 8 | Companies Act 2006: derivative claims: a quick guide A quick guide to the provisions of the Companies Act 2006 relating to derivative claims. | Practice notes | 01-Oct-2007 |
| 9 | Companies Act 2006: directors' duties and board procedure: a ... A quick guide to the rules governing duties of directors and board procedure under the Companies Act 2006. | Practice notes | 01-Oct-2008 |
| 10 | Companies Act 2006: directors' liabilities: indemnities: a quick ... A quick guide to the rules on directors' indemnities under the Companies Act 2006. | Practice notes | 01-Oct-2008 |
| 11 | Companies Act 2006: directors' liabilities: ratification: a quick ... A quick guide to the rules on ratification of directors' liabilities under the Companies Act 2006. | Practice notes | 01-Oct-2008 |
| 12 | Companies Act 2006: directors: loans, quasi-loans and credit ... A quick guide to the rules under the Companies Act 2006 covering loans, quasi-loans and credit transactions in connection with directors. | Practice notes | 01-Oct-2008 |
| 13 | Companies Act 2006: GC100 paper on directors' duties GC100 paper published 7 February 2007 setting out the Group's view on best practice guidelines for compliance with the new law. This document is only available in MS Word format. Click here to view it. | Practice notes | 07-Feb-2007 |
| 14 | Companies Act 2006: minimum number of directors: a quick ... A quick guide to the minimum number of directors required by the Companies Act 2006. | Practice notes | 01-Oct-2008 |
| 15 | Companies Act 2006: removal of directors: a quick guide A quick guide to the rules governing the removal of directors under the Companies 2006. | Practice notes | 01-Oct-2008 |
| 16 | Companies Act 2006: shadow directors: a quick guide A quick guide to the rules governing shadow directors under the Companies Act 2006. | Practice notes | 01-Oct-2008 |
| 17 | Companies Act 2006: substantial property transactions: a ... A quick guide to the rules governing substantial property transactions under the Companies Act 2006. | Practice notes | 01-Oct-2008 |
| 18 | Company accounts and reports: directors' responsibilities ... This note sets out the requirements for the directors' statement of responsibilities in relation to company accounts. | Practice notes | Maintained |
| 19 | Corporate Manslaughter and Corporate Homicide Act 2007 This note provides a summary of the Corporate Manslaughter and Corporate Homicide Act 2007. The Act received Royal Assent on 26 July 2007 and is in force from 6 April 2008 (with the exception of the provisions relating to deaths in custody). The Act applies to the whole of the UK. Broadly, under the Act, an organisation (which includes most employers) is guilty of an offence if the way in which its activities are managed or organised (by its senior management) causes a person's death and this amounts to a gross breach of a relevant duty of care owed by the organisation to the deceased. | Practice notes | Maintained |
| 20 | Declaration of directors' interests: Companies Act 2006 A note outlining the changes to the law on declaration of directors' interests under the Companies Act 2006 (2006 Act). For a link to the 2006 Act, see Companies Act 2006: publication of final text. For general background to the 2006 Act, see Practice note, Companies Act 2006: materials. Chapter 2 of Part 10 (general duties of directors) came into force on 1 October 2007, other than the provisions relating to directors' conflict of interest duties in sections 175 to 177 came into force on 1 October 2008, along with the provisions relating to declarations of interest in existing transactions or arrangements in Chapter 3 of Part 10 (sections 182 to 187). | Practice notes | Maintained |
| 21 | Derivative claims and proceedings by members: comparison ... A note outlining the changes to the law on derivative claims and proceedings by members made by the Companies Act 2006 (2006 Act). For general background to the 2006 Act, see Practice note, Companies Act 2006: materials. Part 11 (derivative claims and proceedings by members) came into force on 1 October 2007. | Practice notes | Maintained |
| 22 | Directors' and officers' liability insurance An outline of the use and terms of directors' and officers' liability insurance. | Practice notes | Maintained |
| 23 | Directors' duties and shadow directors: joint ventures This note gives a broad overview of directors' duties, focusing on those duties which are particularly relevant in the context of joint venture companies where it is important (as it is in the case of any company) for board members to understand the nature of their duties and to whom they are owed. | Practice notes | Maintained |
| 24 | Directors' duties: comparison between Companies Acts 2006 ... A note outlining the changes to the law on directors' duties under the Companies Act 2006 (2006 Act). For a link to the 2006 Act, see Companies Act 2006: publication of final text. For general background to the 2006 Act, see Practice note, Companies Act 2006: materials. For a more detailed note on this topic, see Practice note, Directors' general duties under the Companies Act 2006. Chapter 2 of Part 10 (general duties of directors) came into force on 1 October 2007, other than the provisions relating to directors' conflict of interest duties (sections 175 to 177). Sections 177 to 175 came into force on 1 October 2008. | Practice notes | Maintained |
| 25 | Directors' duties: corporate governance influences A note on directors' duties under Part 10 of the Companies Act 2006, at common law and under other statutory provisions, and UK Corporate Governance Code requirements. | Practice notes | Maintained |
| 26 | Directors' duties: directors' general duties under the ... A note outlining the general duties of directors set out in chapter 2 of Part 10 of the Companies Act 2006. Chapter 2 of Part 10 came into force on 1 October 2007, other than the provisions relating to conflicts of interest (sections 175 to 177, 180(1), (2) and (4)(b), and 181(2) and (3)), which came into force on 1 October 2008. | Practice notes | Maintained |
| 27 | Directors' interests in shares: disclosure requirements This note details the requirements for disclosure of share dealings by directors of listed companies under the Disclosure and Transparency Rules and the Model Code of the Listing Rules. | Practice notes | Maintained |
| 28 | Directors' liabilities: Companies Act 2006 A note outlining the changes to the law on directors' liabilities under the Companies Act 2006 (2006 Act). For a link to the 2006 Act, see Companies Act 2006: publication of final text. For general background to the 2006 Act, see Practice note, Companies Act 2006: materials. Chapter 7 of Part 10 (directors' liabilities) came into force on 1 October 2007. | Practice notes | Maintained |
| 29 | Directors' remuneration: corporate governance issues A note on the corporate governance influences on director's remuneration. | Practice notes | Maintained |
| 30 | Directors' service agreements and regulatory issues This note considers the issues involved in negotiating and drafting directors' service agreements, including pay and benefit provisions and how to protect the company on termination of employment. The note also deals with the regulatory framework affecting the employment terms of listed company directors. | Practice notes | Maintained |
| 31 | Directors' service contracts: disclosure, notice periods and ... A note on directors' service contracts and in particular, the requirements as to the disclosure of service contracts, notice periods and compensation for loss of office. | Practice notes | Maintained |
| 32 | Directors: comparison between Companies Act 2006 and ... A note outlining the changes to the law on directors under the Companies Act 2006 (2006 Act). For a link to the 2006 Act, see Companies Act 2006: publication of final text. For general background to the 2006 Act, see Practice note, Companies Act 2006: materials. Most of Part 10 (a company's directors) came into force on 1 October 2007, other than: (1) provisions relating to directors' conflict of interest duties, declarations of interest in existing transactions or arrangements, and underage and natural directors, which came into force on 1 October 2008; and (2) provisions relating to the register of directors, including directors' residential addresses, which came into force on 1 October 2009. | Practice notes | Maintained |
| 33 | Dismissing a senior executive A note explaining the key employment, taxation, corporate governance and company law issues that may arise on the termination of employment of a director or other senior executive, particularly with regard to severance payments. | Practice notes | Maintained |
| 34 | Fiduciary duties An outline of the common law fiduciary duties, ways of modifying those duties (including the use of Chinese walls) and proposals for reform. | Practice notes | Maintained |
| 35 | GC100 guidance on directors' conflicts of interest | Practice notes | Maintained |
| 36 | GC100 Guidance on directors' conflicts of interest ... | Practice notes | 07-Aug-2008 |
| 37 | GC100 Guidance on directors' conflicts of interest ... | Practice notes | 07-Aug-2008 |
| 38 | GC100 Guidance on directors' conflicts of interest ... | Practice notes | 07-Aug-2008 |
| 39 | Golden parachutes This practice note provides an explanation of the term "golden parachute" and the issues that need to be taken into account by an employer considering whether to enter into a contract with a director which contains a golden parachute clause where there is a change of control. | Practice notes | Maintained |
| 40 | How are health and safety offences prosecuted? A practice note on the prosecution of health and safety offences in Great Britain, focusing on practice in England and Wales. The note explains the types of health and safety offences, who prosecutes the offences and when a prosecution may be brought. | Practice notes | Maintained |
| 41 | Insolvency and considerations for directors A guide to directors' duties and potential liabilities in relation to companies in financial difficulties, including the directors' disqualification regime. This note contains a link to a detailed note on the fiduciary duties of directors of companies that are insolvent or near insolvent under United States law. | Practice notes | Maintained |
| 42 | Loans to directors prior to 1 October 2007 A note on the law governing loans to directors. | Practice notes | 13-Nov-2006 |
| 43 | Loans to directors: comparison between Companies Acts ... A note outlining the changes to the law on loans to directors under the Companies Act 2006 (2006 Act). For a link to the 2006 Act, see Companies Act 2006: publication of final text. For general background to the 2006 Act, see Practice note, Companies Act 2006: materials. The provisions on loans to directors in Chapter 4 of Part 10 came into force on 1 October 2007. | Practice notes | Maintained |
| 44 | Market practice: 2007 and 2008 AGMs: analysis of changes to ... This document contains details of amendments made to a selection of listed companies' articles to reflect the provisions on directors' conflicts of interest in section 175, Companies Act 2006 (the 2006 Act). For analysis of the new statutory duty on directors to avoid conflicts of interest, see Companies Act 2006: GC100 publishes guidance on directors' conflicts of interest. From a review of AGM notices for AGMs held after 1 October 2007, it is clear that many companies are changing their articles to reflect the new statutory duty on directors to avoid a conflict of interest (in force on 1 October 2008) and to incorporate a power for the board to sanction conflicts in accordance with the 2006 Act. This document contains two tables: The first table includes details of changes made to companies' articles to deal with conflicts where the articles were made available electronically so the actual changes can be identified. The second table contains a non-exhaustive list of other companies that have included changes to their articles to deal with conflicts in their AGM notice but where the articles themselves were not available on the company's website. The detailed changes cannot therefore be summarised although a link is given to the AGM notice where this was available. Also companies are generally using the model wording developed by a group of City law firms to explain the changes so the descriptions are very similar (see Legal update, Companies Act 200 | Practice notes | 12-Sep-2008 |
| 45 | Market practice: 2007 and 2008 AGMs: analysis of resolutions ... This document contains details of resolutions proposed at a selection of listed companies' AGMs in relation to directors' indemnities. PLC Corporate has reviewed a significant number of AGM notices for AGMs held after 1 October 2007 to determine how companies are dealing with the Companies Act 2006 (the 2006 Act) and other issues coming out of the 2007/2008 AGM season. Chapter 7 of Part 10 of the 2006 Act, which came into force on 1 October 2007, deals with directors' liabilities and indemnities. It introduced a provision allowing companies to provide qualifying pension scheme indemnity provisions meaning that pension trustee companies and their associated companies can indemnify a director of a pension trustee company against liability incurred in connection with the company's activities as trustee of the scheme (see Practice note, Directors' liabilities: Companies Act 2006). This document contains a table with details of AGM resolutions reflecting the new provisions. This document forms part of a series of analysis by PLC Corporate of how companies are dealing with the 2006 Act (see Practice note, Market practice: 2007 and 2008 AGMs: how companies are dealing with the Companies Act 2006). | Practice notes | 10-Jun-2008 |
| 46 | Model Code This note summarises the Model Code in the UK Listing Rules. As part of its continuing obligations under the Listing Rules, a company that has a premium listing of equity shares must require compliance with the Model Code (or more rigorous dealing obligations) to restrict the ability of persons discharging managerial responsibilities from dealing in the company's securities. | Practice notes | Maintained |
| 47 | Pensions Regulator powers: practical issues for company ... This practice note examines some practical issues for company directors arising from recent changes to the "moral hazard" or "anti-avoidance" powers of the Pensions Regulator. | Practice notes | Maintained |
| 48 | Shadow directors: comparison between Companies Act 2006 ... A note outlining the changes to the law on shadow directors under the Companies Act 2006 (2006 Act). For a link to the 2006 Act, see Companies Act 2006: publication of final text. For general background to the 2006 Act, see Practice note, Companies Act 2006: materials. Most of Part 10 (a company's directors) came into force on 1 October 2007, other than: (1) provisions relating to directors' conflict of interest duties, declarations of interest in existing transactions or arrangements, and underage and natural directors, which came into force on 1 October 2008; and (2) provisions relating to the register of directors, including directors' residential addresses, which came into force on 1 October 2009. | Practice notes | Maintained |
| 49 | Statutory liability for false or misleading statements, omissions ... An outline of the statutory liability provisions for false or misleading statements, omissions and dishonest delay in published information relating to securities and company reports under section 463 of the Companies Act 2006 and section 90A of the Financial Services and Markets Act 2000 (as amended by the Financial Services and Markets Act 2000 (Liability of Issuers) Regulations 2010 (SI 2010/1192)). | Practice notes | Maintained |
| 50 | Substantial property transactions prior to 1 October 2007 A note outlining substantial property transactions within section 320 of the Companies Act 1985. Under section 320 a company is restricted from entering into arrangements to acquire non-cash assets from or transfer assets to directors (or their connected persons) of the company itself or its holding company where the assets are of the requisite value. | Practice notes | 13-Dec-2006 |
| 51 | Substantial property transactions: comparison between ... A note outlining the changes to the law on substantial property transactions under the Companies Act 2006 (2006 Act). For a link to the 2006 Act, see Companies Act 2006: publication of final text. For general background to the 2006 Act, see Practice note, Companies Act 2006: materials. The provisions on substantial property transactions in Chapter 4 of Part 10 came into force on 1 October 2007. | Practice notes | Maintained |
| 52 | Transactions with directors prior to 1 October 2007 An overview of the matters to consider when a company enters into a transaction or arrangement with a person who is a director of the company or a director of its holding company. This note looks at the regulation of such transactions and contains links to more detailed practice notes and specimen resolutions on certain transactions that a company may enter into with its directors | Practice notes | 06-Apr-2007 |
| 53 | Transactions with directors: comparison between Companies ... A note outlining the changes to the law on transactions with directors under the Companies Act 2006 (2006 Act). For a link to the 2006 Act, see Companies Act 2006: publication of final text. For general background to the 2006 Act, see Practice note, Companies Act 2006: materials. Most of Chapters 2 (general duties of directors), and 4 (transactions with directors requiring approval of members) of Part 10 came into force on 1 October 2007, other than the provisions relating to directors' conflict of interest duties (sections 175 to 177). Sections 175 to 177 came into force on 1 October 2008, along with those relating to declarations of interest in existing transactions or arrangements in Chapter 3 of Part 10 (sections 182 to 187). | Practice notes | Maintained |