Insights

 
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.
May 2, 2016 Concert de circonstance et retrait obligatoire
À propos de CA Paris, 1er oct. 2015, n° 14/12844
April 21, 2016 Similar But Not The Same: Some Ways in Which Bonds and Loans Will Differ in a Restructuring

The International Comparative Legal Guide to: Lending & Secured Finance 2016

April 18, 2016 Security-Based Swap Dealers: Gearing Up for Registration
compliancereporter.com, Vol. XXIII, No. 8, April 18, 2016
April 1, 2016 NYC Bar Association, Committee on Estate and Gift Taxation: Memorandum in response to New Nork State Department of Taxation and Finance Technical Memorandum TSB-M-15(4)(M)
Suggesting Modifications to Guidance Regarding Treatment for New York Estate Tax Purposes of Certain Deductions Allowable for Federal Estate Tax Purposes
March 24, 2016 A “Substantial Need” to Discover Settlement Documents?

The International Comparative Legal Guide to: Lending & Secured Finance 2016

March 24, 2016 Foreign Sovereign Compulsion: A Widening Split on Chinese Exports

The International Comparative Legal Guide to: Lending & Secured Finance 2016

March 17, 2016 Getting the Deal Through: Shareholder Activism & Engagement 2016
Law Business Research Ltd.
March 15, 2016 EU Prospectus Regime - Prospectus Approval and Publication, and Dissemination of Advertisements
Client Memorandum
March 3, 2016 Getting the Deal Through: Shareholder Activism & Engagement 2016
Law Business Research Ltd.
March 1, 2016 Regulation of Foreign Banks & Affiliates in the United States (eighth edition)

Westlaw│www.translegalstudies.org/

January 8, 2016 Regulatory Predictions for 2016
FT Trading Room
December 1, 2015 Beyond Bitcoin: Issues in Regulating Blockchain Transactions

65 Duke L.J. 569

November 30, 2015 New York Business Litigation 2016

New York Law Journal, 2015

November 6, 2015 CFTC’s Clearinghouse Exemptive Regime
International Financial Law Review
November 3, 2015 The Perils of a Middle Road to Regulating Systemic Risk: The Volcker Rule’s Risk Backstop Provisions
The Georgetown Law Journal
November 2, 2015 Regulating Finance: Dodd-Frank Decoded
Interview | Talks on Law
October 19, 2015 EPA Issues Ambitious Clean Power Plan Mandating Significant Reductions to GHG Emissions from the Power Industry by 2030
Pratt's Energy Law Report, Vol. 15-9, LexisNexis, October 2015
October 13, 2015 Getting the Deal Through: Merger Control 2016

Law Business Research

October 1, 2015 United States, Chapter 32

The International Insolvency Review, Third Edition, Law Business Research Ltd, 2015

September 30, 2015 Contingent Convertible Securities, From Theory to CRD IV

European Banking Union, Oxford University Press, 2015 (with Andreas Cahn)

September 23, 2015 United States: Anti-Cartel Enforcement

The Antitrust Review of the Americas 2016, Global Competition Review 

August 17, 2015 Foreign Bank Cross-Border Trading under the Volcker Rule: the “Trading Outside the United States” Exemption’s Incongruous Consequences
Columbia Law School’s Blue Sky Blog
July 29, 2015 The Role of Bankruptcy Reform in Addressing Too-Big-To-Fail

Senate Banking Committee, July 29, 2015 (statement of Randall Guynn)

July 27, 2015 Getting the Deal Through

Law Business Research

July 1, 2015 Anson: a Source of Relief or Confusion?
Tax Journal
June 21, 2015 Searching for Optimal Governance on the Nonprofit Board: Dynamic Resource Constraints and a Rejection of Board Bifurcation
New York University Review of Law & Social Change, Vol. 39.4 (2015)
June 12, 2015 Volcker Prop Trading Provisions: How Firms Are Preparing
compliancereporter.com, Vol. XXII, No. 12, June 15, 2015
June 12, 2015 How to Implement Payments to Unregistered Persons Rule
compliancereporter.com, Vol. XXII, No. 10, May 18, 2015
June 12, 2015 Amazon Branches Out
Views on Recent Developments in Tax
April 28, 2015 Developments in Intercreditor Dynamics

The International Comparative Legal Guide to: Lending & Secured Finance 2015

March 24, 2015 Implications of the SEC’s Plans to Amend Rule 15b9-1
Traders Magazine
March 24, 2015 Key Developments and Trends in DIP Financing
Practical Law Finance, Thomson Reuters, 2015
March 20, 2015 Structural Solutions: Blinded by Volcker, Vickers, Liikanen, Glass Steagall and Narrow Banking

Too Big to Fail III: Structural Reform Proposals: Should we Break up the Banks?, De Gruyter, 2015

March 12, 2015 ABI Commission Chapter 11 Report: Implications for Secured Creditors
ABF Journal, March 2015
March 9, 2015 Private Investment in Public Equity (PIPE): What You Need to Know to Invest in Hong Kong and US PIPE Transactions
Asian-Mena Counsel, March 2015, Vol. 12, Issue 8
March 9, 2015 Fatally Foreign: Extraterritorial Recovery of Affordable Transfers and Principles of Comity in the Madoff Securities SIPA Liquidation Proceeding
Harvard Business Law Review Online, accessed March 8, 2015
March 9, 2015 SEC Proposes Long-Awaited Hedging Disclosure Rule: What Does It Mean and What Should You Do Now?

Corporate Law & Accountability Report, 13 CARE 10, 03/06/15, Bloomberg BNA

March 1, 2015 Structural Solutions: Blinded by Volcker, Vickers, Liikanen, Glass Steagal and Narrow Banking

Too Big to Fail III: Structural Reform Proposals – Should We Break Up the Banks?, Institute for Law and Finance Series Vol. 16, De Gruyter, 2015 (Ed. by Andreas Dombret, Patrick S. Kenadjian)

February 23, 2015 The Fiduciary Duties of Directors of Troubled Companies
American Bankruptcy Institute Journal, Vol. XXXIV, No. 2, February 2015
February 2, 2015 Trademark Licensees May Be Able to Have Their (Cup)Cake and Eat It, Too

The Bankruptcy Strategist, Vol. 32, No. 4, February 2015

January 20, 2015 Impacts and Implications of the CFTC’s Emerging Clearinghouse Exemptive Program
Traders Magazine
January 8, 2015 The International Insolvency Review

Law Business Research Ltd., 2014

January 5, 2015 Regulatory Predictions for 2015
Financial Times
January 1, 2015 Delaware District Court Affirms Bankruptcy Court Ruling that Private Equity Fund is not Liable for WARN Act Liability of Its Portfolio Company
VC Experts
December 3, 2014 Défenses anti-OPA et nouveau principe de non-neutralité de la cible : État des lieux après la loi Florange
Revue Trimestrielle de Droit Financier - RTDF n° 3 - November 2014, pp. 139-142
December 2, 2014 The Examiners: Fix Bankruptcy Code’s ‘Errors and Glitches’
Bankruptcy Beat - Wall Street Journal
November 24, 2014 Capmark: Clarifying Insider Status for Market Participants
American Bankruptcy Institute Journal, January 2014
November 6, 2014 Framing the Too Big To Fail Problem: The Path to a Solution

Across the Great Divide: New Perspectives on the Financial Crisis, Chapter 13

November 3, 2014 The Examiners: Repeat Chapter 11s Attributable to Variety of Factors
Bankruptcy Beat - Wall Street Journal
October 20, 2014 CoCos: Coming of Age?
The Euromoney International Debt Capital Markets Handbook 2015, Euromoney Yearbooks

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