| ........... |
......................................................................
Some Current Articles in
Securities & Commodities Regulation:
---------------------------------------------------------------------------------------
The SEC's Large Trader Reporting Rule by Elizabeth K. Derbes - Wilmer Cutler Pickering Hale and Dorr LLP
Shareholder Litigation after the Fall of an Iron Curtain by Boris Feldman - Wilson Sonsini Goodrick & Rosati P.C.
Pre-Releases of Financial Information by Bruce A. Machmeier and Andrew J. Neuharth - Oppenheimer Wolff & Donnelly LLP and Target Corporation
---------------------------------------------------------------------------------------
Stockholder Rights Plans in Negotiated Mergers: Issues of Delaware Law by John F. Grossbauer and Pamela L. Millard - Potter Anderson & Corroon LLP
Federal Securities Claims against Auditors Following the Subprime Meltdown by Sarah L. Cave and Jesse L. Jensen - Hughes Hubbard & Reed LLP
Capital Formation Reform by Bradley A. Jacobson, Robert E. Puopolo, and Daniel J. Blanchard - Greenberg Traurig, LLP
---------------------------------------------------------------------------------------
Use of Social Media by Investment Advisers by F. Martin Fox, Jack P. Huntington, and Bruce Treff - Citi Investor Services
Cross-Border Public M&A in Canada by John Kolada, Stefan Timms, and Michael Hickey - Blake, Cassels & Graydon LLP
Professional Responsibility Issues for Swaps Lawyers under Dodd-Frank by Michael S. Sackheim - Sidley Austin LLP
The SEC Sharpens its Talons in No-Fault Clawback Actions by Jonathan R. Tuttle and Ada Fernandez Johnson - Debevoise & Plimpton LLP
---------------------------------------------------------------------------------------
Implementing the Private Fund Investment Advisers Registration Act of 2010 by Jason E. Brown and Joel A. Wattenbarger - Ropes & Gray LLP
Insights into the SEC's Whistleblower Program by Laurence S. Lese and Michael E. Clark - Duane Morris LLP
---------------------------------------------------------------------------------------
Old Opinion Forms on Sales of Securities by Donald W. Glazer and Michael J. Kendall - Goodwin Procter LLP
Valid Issuance of Capital Stock by John Mark Zeberkiewicz and Tiffany N. Piland - Richards, Layton & Finger P.A.
Private Equity Investment and the FCPA by Joel M. Cohen and Adam P. Wolf - Gibson, Dunn & Crutcher LLP
The Supreme Court's Janus Capital Case by Norman S. Poser - Brooklyn Law School
---------------------------------------------------------------------------------------
The UK Bribery Act 2010 by Stephen Fishbein, Philip Urofsky, and Richard Kelly - Shearman & Sterling LLP
FINRA Arbitration in the Modern Era: A Defense Practioner's Perspective by Tracy L. Gerber - Greenberg Traurig P.A.
---------------------------------------------------------------------------------------
Dodd-Frank Necessitates New Legal Documentation for Cleared and Uncleared Swaps by James M. Cain, Warren N. Davis, Ann M. Battle, Doyle R. Campbell, and Raymond A. Ramirez - Sutherland Asbill & Brennan LLP
|
.......... |
.......... |
......................................................................
Some Current Articles in
Banking & Financial Services:
---------------------------------------------------------------------------------------
Regulation of Non-Depository Covered Persons under the Dodd-Frank Act by Jessica Sklute and Diana Whitaker - Schulte Roth & Zabel LLP
---------------------------------------------------------------------------------------
International Regulation of Global Systemically Important Financial Institutions by Edward F. Green - Cleary Gottleib Steen & Hamilton LLP
---------------------------------------------------------------------------------------
The Rise of State Regulation of Financial Services by Robert G. Ballen, Thomas A. Fox, and Lauren J. Bianchini - Schwartz & Ballen LLP
Defending Bank Officers and Directors in FDIC Litigation by Mary C. Gill, Robert R. Long, and Todd F. Chatham - Alston & Bird LLP
---------------------------------------------------------------------------------------
Bank Programs to Interdict Corruption-Related Money Laundering by Douglas N. Greenburg and John Roth - Latham & Watkins LLP and U.S. Department of Justice, Paris, France
---------------------------------------------------------------------------------------
Incentive-Based Compensation: The Joint Agencies' Proposed Regulations by Kenneth Muller and Seth Chertok - Morrison & Foerster LLP
---------------------------------------------------------------------------------------
Credit Risk Retention - Joint Regulatory Proposed Rules by Howard Altarescu et al. - Orrick, Herrington & Sutcliffe LLP
Office of Foreign Assets Control: The Little Agency with the Big Bite - by Judith A. Lee and James F. Doody - Gibson, Dunn & Crutcher LLP
---------------------------------------------------------------------------------------
Handling a Corporate Crisis: The Ten Commandments of Crisis Management by John F. Savarese - Wachtell Lipton Rosen & Katz
Decision Points of Internal Investigations by Barry J. Mandel and David J. Aveni - Foley & Lardner LLP
|
.......... |