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Displaying 17 Results
December 2012
  U.S. Regulation of the International Securities and Derivatives Markets
  by Edward F. Greene, Alan L. Beller, Edward J. Rosen, Leslie N. Silverman, Daniel A. Braverman, Sebastian R. Sperber, Nicolas Grabar (Tenth Ed., Wolters Kluwer, 2012).
October 26, 2012
  Guide to Bank Underwriting, Dealing and Brokerage Activities
  by Derek Bush, Hugh Conroy Jr., and Robert Tortoriello, 17th Edition: Thomson West.
May 2012
  Cleary Gottlieb Mergers & Acquisitions and Corporate Governance Report
 
March 2012
  U.S. Regulation of International Activities of U.S. Banking Organization
  by Derek M. Bush and Hugh C. Conroy, in Regulation of Foreign Banks & Affiliates In The United States (6th ed., Thomson Reuters).
2012
  Resolution Planning and the Volcker Rule
  by Derek M. Bush, How to Run a Bank 2012 (Financial Times Limited).
December 19, 2011
  FSOC Reproposes the Nonbank SIFI Designation Rule: A Revised Procedure, but No Greater Clarity Regarding Who Will be Designated or When
  by Derek M. Bush and Shara M. Chang, Securities Regulation and Law Report. 
May 2011
  Have the Changes to the UK Listing Regime Been a Success?
  by Raj S. Panasar and Stephen Glasper, Bloomberg UK Financial Services Law Journal (Bloomberg Finance L.P.).
March 2010
  An Analysis of the Walker Review of Corporate Governance in UK Banks and Other Financial Institutions
  by Tihir Sarkar, Simon Jay and Garry Manley, The Banking Law Journal.
2010
  The New York Stock Exchange IPO Guide
  by Nicolas Grabar and Sandra Flow, Caxton 2010.
March 30, 2009
  The Chamber of Mediation and Arbitration Established at the Premises of Consob: A New Alternative Dispute Resolution Device to Protect Retail Investors
  by Pietro Fioruzzi and Maria Grazia Mamone, Avvocati24. Il Sole-24 Ore, online edition.
November/December 2008
  New Rules on Italian Banks’ Organization and Corporate Governance
 
June 26, 2008
  Book-Entry Deposit Procedures for Certain Offerings by Non-U.S. Issuers under Section 3(c)(7) of the Investment Company Act
  by Richard S. Lincer, Robin M. Bergen and Jeffrey D. Karpf
May 2008
  Bankruptcy Court Rules That Repurchase Agreements Involving Mortgage Loans Are Safe Harbored Under the Bankruptcy Code, But That Servicing Rights Are Not
  by Lisa Schweitzer, Seth Grosshandler and William Gao, Pratt's Journal of Bankruptcy Law.
May 1, 2008
  Operational Risk Management in Global Banking Organisations - A Legal and Compliance Perspective
  by Robert L. Tortoriello and Gregg L. Rozansky, The International Who's Who of Banking Lawyers.
September 17, 2007
  FERC Regulation of Banks Proposing to Qualify as Power Marketers
 

by Robert L. Tortoriello, Sara D. Schotland and W. Richard Bidstrup, BNA Banking Report, Vol. 89, No. 10.

November 30, 2005
  Suspicious Activity Reporting: Recent Developments and Guidance on Key Issues
  by Derek M. Bush and Katherine M. Carroll, The Review of Banking and Financial Services, Vol 21. No. 11
March 2003
  New Developments in Procedures for Book-Entry Deposit of Rule 144A Securities by Certain Issuers Relying on Section 3(c)(7) of the Investment Company Act
  by Richard S. Lincer, Janet L. Fisher and Michael Gerstenzang