Displaying
20
Results
September 2008 |
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Private Antitrust Litigation 2009: Italy |
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by Mario Siragusa, Cesare Rizza and Marco D'Ostuni. |
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2008 |
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Advising Corporate Clients in Securities Enforcement Investigations |
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by Robin Bergen |
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August 4, 2008 |
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Reinventing the Securities Disclosure Regime: Online Questionnaires as Substitutes for Form-Based Filings |
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by Alan L. Beller and Joseph A. Grundfest |
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June 26, 2008 |
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Book-Entry Deposit Procedures for Certain Offerings by Non-U.S. Issuers under Section 3(c)(7) of the Investment Company Act |
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by Richard S. Lincer, Robin M. Bergen and Jeffrey D. Karpf |
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June 2008 |
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CNET and Office Depot: Precision Drafting Needed for Advance Notice Bylaws |
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by Daniel S. Sternberg and Matthew P. Salerno |
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June 2008 |
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Wash Sales: Considerations in Grant Practices and Forced Sales to Avoid Causing Delay of Employee Loss Deductions |
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by Kathleen M. Emberger and Caroline F. Hayday |
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June 2008 |
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Treasury Proposes Changes to the Regulations Governing Exon-Florio "National Security" Reviews of Foreign Investments in the United States |
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by Paul D. Marquardt, W. Richard Bidstrup and Nathaniel F. Stankard |
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May 2008 |
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Bankruptcy Court Rules That Repurchase Agreements Involving Mortgage Loans Are Safe Harbored Under the Bankruptcy Code, But That Servicing Rights Are Not |
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by Lisa Schweitzer, Seth Grosshandler and William Gao, Pratt's Journal of Bankruptcy Law. |
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May 1, 2008 |
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Operational Risk Management in Global Banking Organisations - A Legal and Compliance Perspective |
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by Robert L. Tortoriello and Gregg L. Rozansky, The International Who's Who of Banking Lawyers. |
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February 2008 |
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International Insolvency and Bankruptcy |
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by Lindsee Granfield, Sean O'Neal and Timothy Mehok, International Corporate Practice: A Practitioner's Guide to Global Success, Vol. 1, 1st Edition. |
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February 2008 |
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Fiduciary Duty and Fraud Risks from Competing Sets of Internal Financial Reports and Projections: Guidance for Target Boards and Deal Teams |
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by Ethan Klingsberg, The M&A Lawyer February 2008, Vol. 12, Issue 2. |
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February/March 2008 |
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Stresses on the LBO Deal Architecture: United Rentals Goes to Court |
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by David Leinwand and Victor Goldfeld |
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January 2008 |
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Stresses on the New LBO Deal Architecture: United Rentals Goes to Court |
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by David Leinwand
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January 2008 |
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Requirements For Foreign Private Issuers To Terminate U.S. Reporting Obligations |
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by Leslie N. Silverman, Sandra Galvis, and Frances Mejia, World Securities Law Report January 2008, Published by BNA International Inc. |
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January 2008 |
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Recent Developments in Disclosure of Projections – CheckFree and SEC Staff Views |
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by Christopher E. Austin |
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January 2008 |
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Financing acquisitions of companies in the UK and the US |
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by Andrew C Shutter and Glen M Scarcliffe, PLC Cross-border Finance Handbook, 2008/09, Vol. 1. |
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January 2008 |
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Fiduciary Duty and Fraud Risks from Competing Sets of Internal Financial Reports and Projections: Guidance for Target Boards and Deal Teams |
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by Ethan A. Klingsberg |
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January 2008 |
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Case Limits Obligations of a Parent to Honor Liabilities of Other Participating Employers in a Deferred Compensation Plan |
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by Arthur H. Kohn |
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September 17, 2007 |
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FERC Regulation of Banks Proposing to Qualify as Power Marketers |
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by Robert L. Tortoriello, Sara D. Schotland and W. Richard Bidstrup, BNA Banking Report, Vol. 89, No. 10. |
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June 6, 2007 |
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Securitisation in Germany |
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by Werner Meier and Michael Kern, a chapter in the 2007 edition of The International Comparative Legal Guide to: Securitisation 2007, published by Global Legal Group Ltd., London |
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