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Some Current Articles in
Securities & Commodities Regulation:
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Advising Buyers in Controlling Stockholder Transactions by Melissa Sawyer - Sullivan & Cromwell LLP
The Jobs Act: Improving Access to Capital Markets for Smaller Companies by Robert E. Puopolo, Bradley A. Jacobson, and Stephen T. Adams - Greenberg Traurig, LLP
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The Future of Say-On-Pay Derivative Litigation by Michele D. Johnson and Colleen C. Smith - Latham & Watkins LLP
SEC and FINRA: Priorities and Enforcement Trends by Jeffrey W. Coverdell, Brian L. Rubin, and Andrew M. McCormick - Wells Fargo and Sutherland Asbill & Brennan LLP
Fund Profitability in Mutual Fund Fee Litigation by Sean M. Murphy and James G. Cavoli - Milbank, Tweed, Hadley & McCloy LLP
The Proverbial Gun in the Corporate Defense World by Laura Ariane Miller and B. Patrice Clair - Nixon Peabody
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Corporate Governance for Venture-Backed Companies by Thomas W. Kellerman and Jeffrey R. Wolters - Morgan, Lewis & Bockius LLP and Morris, Nichols, Arsht & Tunnell LLP
The PIPES Market: Outlook for 2012 by Tracey A. Zaccone - Paul, Weiss, Rifkind, Wharton & Garrison LLP
Extraterritorial Section 10(B) Class Actions after Morrison by Alex C. Lakatos - Mayer Brown LLP
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SEC Concept Release Tackles Investment Company Use of Derivatives by Jay G. Baris and Andrew J. Donohue - Morrison & Foerster LLP and Morgan Lewis & Bockius LLP
Duties Imposed by the Investment Advisers Act of 1940 by Mitchell E. Nichter and Patrick W. Dennis - Paul Hastings LLP
Developments in Shareholder Proposals by Marc Folladori and Ryan Valenza - Mayer Brown LLP
When is the Statute of Repose Period for Federal Securities Fraud Claims Triggered? by Sofia E. Biller and Howard S. Suskin - Jenner & Block LLP
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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
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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
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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
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Some Current Articles in
Banking & Financial Services:
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Chapter 13 Class Action Fee Challenges by Thomas J. Cunningham - Locke Lord LLP
Crafting a Successful E-Mail Notice Program by Christopher Chorba and Lauren A. Eber - Gibson, Dunn & Crutcher LLP
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The Gatekeeper Initiative and the Risk-Based Approach to Client Due Diligence by Kevin L. Shepherd - Venable LLP
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UDAP Developments in the Consumer Financial Services Industry by Darren M. Welch - Skadden, Arps, Slate, Meagher & Flom LLP & Affiliates
Working with OFAC by Cari N. Stinebower - Crowell & Moring LLP
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The CFPB's Role in Shaping the Residential Mortgage Market by David N. Anthony and Jarrod F. Loadholt - Troutman Sanders LLP
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Regulation of Non-Depository Covered Persons under the Dodd-Frank Act by Jessica Sklute and Diana Whitaker - Schulte Roth & Zabel LLP
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International Regulation of Global Systemically Important Financial Institutions by Edward F. Green - Cleary Gottleib Steen & Hamilton LLP
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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
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