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.
|February 24, 2019||
What Should Be Disclosed in an Initial Coin Offering?
Oxford University Press (2019)
|November 3, 2015||The Perils of a Middle Road to Regulating Systemic Risk: The Volcker Rule’s Risk Backstop Provisions The Georgetown Law Journal|
|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
|January 27, 2014||
How to Design a Volcker Rule Trading Compliance Program
Compliance Reporter, Vol. XXI, No. 2
|May 17, 2013||The Odious Debt Doctrine After Iraq Law and Contemporary Problems, Vol. 70:139|
|May 17, 2013||The Investment Advisers Act of 1940: Regulation by Accretion Rutgers Law Journal, Vol. 39:627|
|April 21, 2013||
Regulation Through Substitution as Policy Tool: Swap Futurization Under Dodd-Frank
|April 8, 2013||Swap Reforms: Tasks for Asset Management CCOs Compliance Reporter, Vol. XX, No. 7, Institutional Investor,|