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Some Current Articles in
Securities & Commodities Regulation:
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The Conundrum of Crypto Custody: Regulatory Considerations for Investment Advisers by Alice S. Hrdy, Christine A. Schleppegrell, Ellen G. Weinstein, and Naina Adhikari – Morgan, Lewis & Bokius LLP
Rule 15a-6 of the Securities Exchange Act: A Guide for Foreign Broker-Dealers by Guy P. Lander – Carter Ledyard & Milburn LLP
Beyond Quarterly Reporting: How the SEC Could Give Companies Flexibility Without Sacrificing Investor Protection by Folake K. Ayoola – Goodwin Proctor LLP
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Limitations of the “Truth on the Market” Defense: Recent Appelate Decisions by Matthew L. Mustokoff and Margaret E. Mazzeo – Kessler Topaz Meltzer & Check, LLP
Nevada’s Corporate Evolution Into a Viable Delaware Alternative by Abran Vigil – Ballard Spahr LLP
Valuation Practices for Registered Investment Companies Holding Private and Hard-to-Value Assets by Nathan J. Greene and Amelia Albrecht – Sidley Austin LLP
A “New Era of Collaboration” Over Digital Assets Between the SEC and CFTC by Jacqueline Yecies and Jack C. Murphy – Akin Gump Strauss Hauer and Feld LLP
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Retailization of Private Equity in the United States: A Primer by Matthew B. Goldstein – Paul, Weiss, Rifkind, Wharton & Garrison LLP
U.S. Treasury Clearing: SEC Mandate and Market Considerations by Lauren E. Semrad, Brian J. Morris, and Wankun Wang – Cleary Gottlieb Steen & Hamilton LLP
The SEC’s Revolutionized Approach to Crypto by Ladan F. Stewart – White & Case
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Part I – Management’s Discussion and Analysis: A Guide to SEC Compliance and Best Practices by Folake K. Ayoola – Goodwin Procter LLP
Part II – Management’s Discussion and Analysis: A Guide to SEC Compliance and Best Practices by Folake K. Ayoola – Goodwin Procter LLP
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Shifting Enforcement Priorities at the CFTC and the SEC by Ellen M. Wheeler, James G. Lundy, and Cassandra M. Aubert – Foley & Lardner LLP
Structuring Share Repurchases: Rules 10b-18 and Rule 10b5-1 Applied to Various Open Market Repurchase Programs by Steven Seltzer, Andrew J. Pitts, and C. Daniel Haaren – Cravath, Swaine & Moore LLP
The Extraterritorial Reach of the Commodity Exchange Act by Charles Mills, Michael Brooks, and Sophia Evans – Bracewell LLP
Disgorgement Reconsidered: Rule 105 and the Adviser-Client Divide by Adam S. Aderton and Abigail A. Grise – Simpson Thacher & Bartlett LLP
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2025 Mid-Year Securities Enforcement Update by Jina Choi, Osman Nawaz, David Woodcock, and Michael Ulmer – Gibson, Dunn & Crutcher LLP
Navigating Derivative Litigation in Delaware and Pennsylvania: A Comparative Analysis by Jay A. Dubow, Katie Rose Hancin, and Dominique Hazel-Criss – Troutman Pepper Locke, LLP
Valuing Terminated Credit Default Swaps: LBIE V. Assured Guaranty by Roger A. Cooper and Sara Watson – Cleary Gottlieb Steen & Hamilton LLP
How Gatekeepers Should Handle Whistleblowers by Osman Nawaz and Brian A. Richman – Gibson, Dunn & Crutcher LLP
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Some Current Articles in
Banking & Financial Services:
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The Rise of Bankruptcy Directors and the Evolution of Corporate Governance in Chapter 11 by Stephen B. Selbst – Herrick, Feinstein LLP
What to Expect in Banking Regulation in 2026 by Joseph E. Silvia – Duane Morris LLP
Avoidance and Turn-Over Provisions in Intercreditor Agreements by David Ebroon – J. P. Morgan
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2026 Digital Assets Regulatory Update: A Landmark 2025 but More Developments on the Horizon by Deborah North, Hugh C. Conroy, Jr., Brandon M. Hammer, Samuel Levander, Alec Foote Mitchell, and Laurel Cunningham – Cleary Gottlieb Steen & Hamilton LLP
NAV Facilities for Secondaries Funds: Legal, Structural, and Credit Considerations by Steven Starr – Clifford Chance US LLP
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Mortgage Fraud: Emerging Trends and Best Practices for Prevention by Lawrence J. Cameron and Jenna M. White – Troutman Pepper Locke LLP
“Bad Faith” Bankruptcy Dismissals in the Wake of LTL Management: Recent Developments by Casey Servais – Cadwalader, Wickersham & Taft LLP
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Cross-Border Strategy: O Canada – U.S. Companies Look North for Main Insolvency Proceedings by Madlyn Gleich Primoff, Alexander Rich, and Sarah Margolis – Freshfields US LLP
Continuing Compliance Challenges in Mortgage Loan Originator Compensation by Kris D. Kully – Mayer Brown LLP
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Modernizing ABCs With the Uniform Assignment for Benefit of Creditors Act by Emil P. Khatchatourian and Joseph S. Harper – Foley & Lardner LLP
Creativity to Circumvent Collapse: Understanding the Success of 4 West Holdings by Thomas R. Califano and Julia Jean Citron – Sidley Austin
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An Overview of the Use of Cooperation Agreements Among Lenders in the Syndicated Loan Market by Robert J. Waldner – Crowell & Moring LLP
Analyzing the Fair Credit Reporting Act’s New “Objectively and Readily Verifiable” Standard to Show an Inaccuracy by Bryan A. Fratkin – McGuireWoods LLP
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