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.
November 1, 2008 The Center of the Storm
The American Lawyer, November 2008
September 22, 2008 Auction Rate Securities -- Global Exemptive Relief
August 24, 2008 Foreign Bank Acquisitions of U.S. Bank and Thrifts (Chapter 3)
Regulation of Foreign Banks and Affiliates in the United States (5th ed.)
August 1, 2008 Let the Good Funds Roll: Private Equity and Banks
International Financial Law Review
August 1, 2008 Foreign Banks as U.S. Financial Holding Companies (Chapter 10)
Regulation of Foreign Banks and Affiliates in the United States (5th ed.)
July 9, 2008 NYSBA Tax Section Report No. 1160

Request for Comments Regarding Treatment of Executors' and Trustees' Commissions Under IRC Section 67(e)

June 1, 2008 Learned: How Funds Vote on Proxy Proposals
InvestorRelationships.com
June 1, 2008 How Funds Vote on Proxy Proposals
InvestorRelationships.com
May 1, 2008 The Spotlight on the Independence of Compensation Consultants
The Corporate Governance Advisor
May 1, 2008 Pro Bono Femineo: Women-Focused Pro Bono Efforts Can Be an Essential Component of a Law Firm’s Women’s Initiatives
Women Lawyers Journal
May 1, 2008 The Fiduciary Duties of Directors of Troubled U.S. Companies: Emerging Clarity
The International Comparative Legal Guide to: Corporate Recovery & Insolvency 2008
January 1, 2008 VEBAs Revisited
Practising Law Institute
January 1, 2008 Foreign Bank Acquisitions of U.S. Banks and Thrifts

Regulation of Foreign Banks and Affiliates in the United States, 5th Ed

January 1, 2008 Foreign Bank Acquisitions of U.S. Banks and Thrifts
U.S. Regulation of Foreign Banks (5th Edition)
January 1, 2008 Portraying a Branded World
U. Ill. J.L. Tech Pol'y 357 (2008)
January 1, 2008 Foreign Banks as U.S. Financial Holding Companies

Regulation of Foreign Banks and Affiliates in the United States, 5th Ed

January 1, 2008 E.U. and U.S. Personal Information Privacy, and Human Rights Philosophy
Temp. Int'l & Comp. L.J. 307 (2008)
January 1, 2008 The Structure of Financial Supervision

Group of Thirty

November 1, 2007 Designing Stock Plans that Work in Corporate Transactions
M&A Lawyer
October 11, 2007 NYSBA Tax Section Report No. 1134

Request for Comments Regarding General Powers of Appointment Under IRC Section 2514

October 1, 2007 Regulation of Short Sales in the United States: Recent SEC Actions and Future Prospects
Henry Stewart Publications LLP
August 1, 2007 Top Ten Regulatory Initiatives Affecting the U.S. Equity Trading Markets
Bloomberg Law Reports
June 1, 2007 The Nireco Poison Pill: The Impact of a Court Injunction
Pacific Rim Law & Policy Journal
June 1, 2007 10 Principles for Enhancing IT Control Programs
Securities Law360
April 1, 2007 Soft Landing
The American Lawyer, April 2007
March 4, 2007 Equity, Debt, NOT – The Tax Treatment of Non-Debt Open Transactions
60 Tax Lawyer No. 3, 653-684 (Spring 2007)
February 1, 2007 A Brave New World - SEC Registration
International Financial Law Review
January 1, 2007 Toward a New Corporate Reorganization Paradigm
19 J. Applied Corp Finance (Vol. 4, Fall 2007)
January 1, 2007 ISDAs & Prime Brokerage
Practising Law Institute
January 1, 2007 U.S. Chapter 11 Today: A Funny Thing Happened On the Way to the Courthouse

The International Comparative Legal Guide to: Corporate Recovery and Insolvency 2007

January 1, 2007 A (Breathless) History of American Insolvency Law
INSOL World – Silver Jubilee Edition (2007)
September 1, 2006 Law Blog Lawyer of the Day: Davis Polk's Marshall Huebner

The Wall Street Journal, September 2006

May 30, 2006 NYSBA Tax Section Report No. 1111
Commenting on Guidance to be Proposed Regarding Tax Consequences of Appointing a Family-Owned Trust Company to Serve as Trustee
January 1, 2006 Trade Mark Issues in the Financial Services Industry
Trade Marks at the Limit
January 1, 2006 Absolute Priority, Valuation Uncertainty, and the Reorganization Bargain
115 Yale L. J. 1930 (2006)
January 1, 2006 Searching for Confusion: The Initial Interest Confusion Doctrine and its Misapplication to Search Engine Sponsored Links
91 Cornell L. Rev. 1343
January 1, 2006 Jurisdictional Comparisons
Securities World - Second Edition USA
January 1, 2006 UBTI: A Primer for Private Investment Funds
Practising Law Institute
April 1, 2005 Debtor-in-Possession Financing
The RMA Journal
January 1, 2005 A Reorganization Lawyer’s Perspective on Professor Warren’s Vanishing Trials
79 Am. Bankr. L. J. 943
January 1, 2005 ERISA for Hedge Fund Managers
Practising Law Institute
January 1, 2005 Europeans Put The Case For US Deregistration
International Financial Law Review
April 1, 2004 Public Company CEO Compensation: A Review of the Recent Reforms
Tax Management Compensation Planning Journal
October 15, 2003 No Action, Interpretive and/or Exemptive Letter: Microsoft Corporation
February 1, 2003 Structuring Hedge Funds for Benefit Plan Investors
Tax Management Compensation Planning Journal
January 1, 2003 Recent Delaware Decisions May Prove to be ‘Entirely Unfair’ to Minority Shareholders in Parent Merger with Partially Owned Subsidiary
2003 Colum. Bus. L. Rev. 253
November 27, 2002 Fairness Opinions in Corporate Real Estate Transactions
New York Law Journal
March 4, 2002 Dirty Linen: Airing Out the Wash Sale Rules
3 Journal of Taxation of Financial Products, No. 3, page 41 (Summer 2002)
January 1, 2002 The Re-Proposed 280G Regulations
Practising Law Institute Tax Law and Practice Course Handbook Series Number J-537
January 1, 2002 Earnings Management, the SEC, and Corporate Governance: Director Liability Arising from the Audit Committee Report
102 Colum. L. Rev. 168

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