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May 22, 2013
  Airport Sales Take Off with LMM
  By Richard Lincer and Adam Brenneman, Project Finance International.
May 6, 2013
  Come to a Full Stop: Halt the running of prejudgment interest under tolling agreements
  By Avram Luft and Laura Zuckerwise, New York Law Journal.
April 19, 2013
  A Timely Update On Recovering Legal Fees And Costs Through Criminal Restitution
  By Lewis J. Liman, Breon S. Peace and Benjamin J.A. Sauter, White Collar Crime Report, Vol. 08, No. 08, pp. 1-5.
December 2012
  Cleary Gottlieb Mergers & Acquisitions and Corporate Governance Report
 
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.
October 23, 2012
  Experts Looking at U.S.-Mexico Cross Border Insolvency Issues
  Richard Cooper discusses cross border insolvency laws in the U.S. and Mexico with the American Bankruptcy Institute.
August 7, 2012
  Use of Predictive Coding in Regulatory Enforcement Proceedings
  by Jennifer Kennedy Park and Scott Reents, The United States Law Week, 81 U.S.L.W. 191.
July 2012
  What More Can Be Done to Deter Violations of the Federal SEC Laws?
  by David M. Becker, Texas Law Review, vol. 90, issue 7.
May 2012
  The Revised U.S. Horizontal Merger Guidelines and Market Definition: Early Returns
  by Leah Brannon and Alex R. Sistla, Concurrences, 2-2012.
May 2012
  Cleary Gottlieb Mergers & Acquisitions and Corporate Governance Report
 
April 2012
  Cleary Gottlieb Pro Bono Practice 2011 Annual Report
 
Spring 2012
  Learning from Rambus – How to Tame Those Troublesome Trolls
  By Daniel P. Culley, Malik Dhanani and Maurits Dolmans, The Antitrust Bulletin: Vol. 57, No. 1.
March 22, 2012
  Special Committee Review After Southern Peru Copper
  by Neil Whorisky, Bloomberg Law Reports: Corporate and M&A Law – Mergers & Acquisitions
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).
March 2012
  Market Definition in Antitrust Theory and Case Studies
  by Mark W. Nelson (American Bar Association).
February 2012
  Cleary Gottlieb Mergers & Acquisitions and Corporate Governance Report
 
January 2012
  The Case for Antitrust Law to Police the Patent Holdup Problem in the Standard Setting
  by George S. Cary, Mark K. Nelson, Steven J. Kaiser and Alex R. Sistla, ABA's Antitrust Law Journal (Volume 77, Number 3).
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. 
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