Our lawyers produce a wealth of substantive, timely and practical resource materials for our clients and friends of the firm. Listed separately below are client memos and alerts, articles and books, and podcasts.
January 1, 2014 IFLR Bankers’ Counsel Poll: European Capital Markets
International Financial Law Review
December 31, 2013 SEC Proposes Rules for Crowdfunding Intermediaries
Financial Fraud Law Report
December 31, 2013 Tough Tone at the Top of the SEC
Financial Fraud Law Report
Matthew Bender & Company, Inc.
December 18, 2013 Bank M&A in the New Regulatory Landscape (Co-Author)
PLI Banking Law Institute 2013 Handbook
December 18, 2013 Investment Banks Face Challenges Under New Municipal Advisor Rules
Regulatory Reform, New York Law Journal (December 16, 2013)
December 6, 2013 Lingering Questions on Foreign Sovereignty and Separation of Powers After the Vitamin C Price-Fixing Verdict
Antitrust, vol. 28, no. 1, Fall 2013, American Bar Association
December 5, 2013 Shifting Paradigms in Market Definition – From Staples/Office Depot to AMR/US Airways
The Threshold, vol. XIV, no. 1, Fall 2013, American Bar Association
December 5, 2013 Using Chapter 15 to Implement Foreign Reorganization Plans in the U.S.
Corporate Restructuring and Bankruptcy
New York Law Journal, December 2, 2013
November 13, 2013 Off the Wall: Abandonment and the First Sale Doctrine
45 Colum. J.L. & Soc. Probs. 458 (2012)
November 6, 2013 Sustainability Disclosure in Annual Reports and Proxy Statements | August 2013
The Harvard Law School Forum on Corporate Governance and Financial Regulation
November 1, 2013 Bondholders Encounter Unexpected Turbulence
American Bankruptcy Institute Journal
November 1, 2013 The International Capital Markets Review: United Kingdom
Law Business Research
November 1, 2013 The Cross-border Impact of the Dodd-Frank Act
A Practitioner’s Guide to the Regulation of Investment Banking, Third Edition, Oxford University Press, 2013
October 25, 2013 Judgment Call: Don't become a basket case

The Deal Pipeline, October 25, 2013

October 16, 2013 Avoid Insider Status in Bankruptcy: Lessons from Capmark Financial Group Inc. v. Goldman Sachs Credit Partners, L.P.
Bloomberg BNA's Bankruptcy Law Reporter
October 1, 2013 United States, Chapter 26

The International Insolvency Review, First Edition, Law Business Research Ltd., 2013

October 1, 2013 Acquisitions and Disposals by Listed Companies
Institute of Chartered Secretaries and Administrators
October 1, 2013 Recognition and Comity in Cross-border Insolvency Proceedings, Chapter 1

The International Insolvency Review, First Edition, Law Business Research Ltd., 2013

October 1, 2013 Chapter on French Insolvency Law
The International Insolvency Review 2013, Chapter 11, pp. 146-159
October 1, 2013 Quelle réforme du droit des faillites?
Banque & Droit, Hors-série octobre 2013, pp. 22-28
October 1, 2013 Complexity
28 Antitrust No. 1, American Bar Association
September 17, 2013 United States: Anti-Cartel Enforcement
The Antitrust Review of the Americas 2014
Global Competition Review
September 17, 2013 Getting the Deal Through - Merger Control 2014
United States
Law Business Research
September 9, 2013 The Appointment of Delegates Under the AIFMD
Key considerations and practical implications
The Hedge Fund Journal
August 28, 2013 Briefings on the 2013 New Hong Kong IPO Sponsor Regime
August 28, 2013 达维简报 - 2013年香港首次公开招股保荐人机制的最新修订
August 13, 2013 Product Liability and Associated Litigation
A Corporate Journey to the West or How to Make a Successful Acquisition in the USA
Asian-Mena Counsel, 2013
August 1, 2013 Viewpoint: Who Owns a Distressed Bank’s Tax Refunds?
Dow Jones | Daily Bankruptcy Review
August 1, 2013 The Aggregation Clause in Euro Area Government Securities: Game Changer or Flavor of the Month? - Background and the Greek Experience

Collective Action Clauses and the Restructuring of Sovereign Debt, Institute for Law and Finance Series Vol. 12, De Gruyter, 2013 (Ed. by Patrick S. Kenadjian, Klaus-Albert Bauer, Andreas Cahn)

July 31, 2013 Testimony Before the Senate Banking Subcommittee on Financial Institutions and Consumer Protection
Hearing on “Examining Financial Holding Companies: Should Banks Control Power Plants, Warehouses, and Oil Refineries?”
July 30, 2013 Foreign Banks as U.S. Financial Holding Companies (Chapter 11, Co-Author)
Regulation of Foreign Banks and Affiliates in the United States (7th ed.)
July 30, 2013 Foreign Bank Acquisitions of U.S. Banks and Thrifts (Chapter 7, Co-Author)
Regulation of Foreign Banks and Affiliates in the United States (7th ed.)
July 25, 2013 HK Profit Announcements: To Warn or Not to Warn?
Article of Interest
July 1, 2013 CoCos and Bail-Ins

CoCos and Bail-Ins  Bank Recovery and Resolution Directive: Europe’s Solution for Too Big to Fail?, Institute for Law and Finance Series Vol. 13, De Gruyter, 2013 (Ed. by Patrick S. Kenadjian)

July 1, 2013 Corporate Governance 2013: Global Overview
Getting the Deal Through – Corporate Governance 2013
May 28, 2013 CCOs Must Heed SEC’s Northern Lights Action
Ignites | A Financial Times Service
May 17, 2013 The Investment Advisers Act of 1940: Regulation by Accretion
Rutgers Law Journal, Vol. 39:627
May 17, 2013 The Odious Debt Doctrine After Iraq
Law and Contemporary Problems, Vol. 70:139
May 15, 2013 New and Proposed Research Rules Create Compliance Challenges for Banks
New York Law Journal: Financial Reform
May 14, 2013 Too Big to Fail: The Path to a Solution
A Report of the Failure Resolution Task Force of the Financial Regulatory Reform Initiative of the Bipartisan Policy Center
May 1, 2013 What China’s IPO Crisis Means for PE Investors
China Law & Practice, May/June 2013
April 21, 2013 Regulation Through Substitution as Policy Tool: Swap Futurization Under Dodd-Frank
Working Paper
April 15, 2013 Resolution Planning in the United States

Randall D. Guynn, Resolution Planning in the United States, in The Bank Recovery and Resolution Directive: Europe's Solution for "Too Big to Fail?" 109-163 (Andreas Dombret, Patrick S. Kenadjian, editors, 2013).

April 11, 2013 Overview of U.S. Bank Regulation and Recent Developments (Chapter 57, Co-Author)
The Banking Regulation Review (4th ed., 2013)
April 8, 2013 Swap Reforms: Tasks for Asset Management CCOs
Compliance Reporter, Vol. XX, No. 7, Institutional Investor,
April 1, 2013 Designation of Asset Managers and Funds As Systemically Important Non-Bank Financial Institutions: Process and Industry Implications: Part 2 of 2

Investment Lawyer | Vol. 20, No. 4 | April 2013

March 28, 2013 On Its One-Year Anniversary, Two Cheers for the JOBS Act
March 5, 2013 Basel Committee Revises Basel III Liquidity Coverage Ratio
The Harvard Law School Forum on Corporate Governance and Financial Regulation
March 4, 2013 Corporate Restructuring and Bankruptcy
Bankruptcy Settlements and the Common Interest Privilege
New York Law Journal
March 1, 2013 Swap Reporting: Who and When?
Futures Industry


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