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
March 1, 2013 Designation of Asset Managers and Funds As Systemically Important Non-Bank Financial Institutions: Process and Industry Implications: Part 1 of 2

Investment Lawyer | Vol. 20, No. 3 | March 2013

February 12, 2013 Can Selfish Be Substantial? The Role of Motivation in Substantial Contribution Claim Standards
ABI Journal, February 2013
February 12, 2013 New Committees Can Help Boards Tackle Tough
BoardIQ | A Financial Times Service
February 12, 2013 Concluding Remarks at the Federal Reserve Bank of New York
Impact of U.S. Regulatory Reform on Global Banks: Key Perspectives on the Major Areas
February 1, 2013 Implementing the Conflict Minerals Rule
Insights, The Corporate & Securities Law Advisor, Vol. 27, No. 2
January 24, 2013 CCOs Must Take Heed of Morgan Keegan Valuation Case
Ignites | A Financial Times Service
January 14, 2013 U.S. Basel III Proposals: Infographic
BankDirector.com
January 3, 2013 Comment: 13 Regulatory Reform Predictions for ’13
December 1, 2012 Recent Developments in Adequate Protection Under Section 361
Norton Annual Survey of Bankruptcy Law & Practice, 2012 Edition
November 13, 2012 Global Compliance and Investigations Group
Winter 2012
November 12, 2012 Getting the Deal Through - Merger Control 2013
United States
Law Business Research
October 16, 2012 Treasury Addresses Change In-Control Cash-Out Provisions
Tax Analysts
August 20, 2012 Corporate Governance 2012: Global Overview
Getting the Deal Through – Corporate Governance 2012
August 8, 2012 The Evolution of Sports Bankruptcies
Dow Jones DBR Small Cap
August 7, 2012 Bona Fide Prospective Purchaser Defense: Why Has It Failed to Deliver?
New York Law Journal, Vol. 248 - No. 26, August 7, 2012
June 22, 2012 Regulation of Foreign Banks & Affiliates in the United States (6th ed.) (Co-Editor)
Westlaw│www.translegalstudies.org/
June 22, 2012 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.)
June 22, 2012 Foreign Banks as U.S. Financial Holding Companies (Chapter 10, Co-Author)
Regulation of Foreign Banks and Affiliates in the United States (6th ed.)
June 1, 2012 Swap Reporting Clearing & Trading: A Timing Guide
Futures Industry
June 1, 2012 Taxation of Investments in U.S. Real Estate (Hebrew)
Missim (June 2012)
May 22, 2012 Merger Enforcement Across Political Administrations In The United States
Concurrences: Competition Law Journal
May 9, 2012 Regulatory Collateral: TerreStar, Tracy Broadcasting, AMR
DBR Small Cap
Dow Jones
April 1, 2012 Impact of FATCA on Foreign Funds
Practical Law The Journal
February 1, 2012 Corporate Governance Practices for IPOs in the United States
Director Notes
January 31, 2012 Creditor Protection in Bank Insolvencies
Too Big to Fail: Do We Need Special Rules for Bank Resolutions?
Institute for Law and Finance, Frankfurt, Germany, 2012
January 23, 2012 Executive Compensation Planning for Pre-IPO Companies
Bloomberg BNA's Securities Regulation and Law Report, 43 SRLR 157
January 3, 2012 Fed Begins 2013 CCAR Capital Planning Process for Large Banks
The Harvard Law School Forum on Corporate Governance and Financial Regulation
January 1, 2012 Corporate Governance Practices for Initial Public Offerings in the United States
The Conference Board, January 2012
January 1, 2012 The Pan-European Short Selling Regulation: A Retrospective
Thomson Reuters Complinet
December 31, 2011 Acquisition par un concurrent
Concurrences, N° 2-2010, pp. 110-112
December 31, 2011 Compétence de la Commission
Concurrences, N° 4-2010, pp. 162-164
December 31, 2011 Contrôle des concentrations
Panorama de la pratique décisionnelle de l’Autorité de la concurrence en 2010
Concurrences, N° 1-2011, pp. 58-66
December 23, 2011 Comment: 12 Regulatory Reform Predictions for '12
Financial Times
December 21, 2011 Key Elements of the Revised Model Credit Agreement Provisions
ABA Commercial Law Newsletter, Winter 2011
December 20, 2011 The Law of Unintended Consequences: Competing Plans in the Post-BAPCPA World
New York Law Journal, Vol. 246, No. 118
December 1, 2011 Enron: 10 Years Later
Law360

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