January 3, 2014 Comment: Regulatory Predictions for 2014
March 25, 2014 COMMENTARY: Why the Market Should Care About Proposed Clearing Agency Requirements
Traders Magazine
November 16, 2010 Comments on Proposed Rules Relating to Shareholder Approval of Executive Compensation and Golden Parachute Compensation (the “Proposal”)
Comment Letter to the SEC
November 16, 2010 Comments on Subtitle E of Title IX–Accountability and Executive Compensation under the Dodd-Frank Wall Street Reform and Consumer Protection Act
Comment Letter to the SEC
January 1, 1999 Commodity Pools
Financial Product Fundamentals
PLI 1999
January 1, 1998 Commodity Pools and Futures Related Investment Vehicles
Investment Management Regulation
Carolina Academic Press
January 1, 1998 Commodity Pools: Collective Investment Funds Under the Futures Regulatory Framework
Investment Management Regulation
Carolina Academic Press (1998)
January 1, 1995 Commodity Trading Advisor Regulation
ALIABA Course of Study Materials
Investment Adviser Regulation
September 1, 2009 Companies Required to be Environmentally Sustainable
COVER magazine
December 31, 2011 Compétence de la Commission
Concurrences, N° 4-2010, pp. 162-164
October 1, 2013 Complexity
28 Antitrust No. 1, American Bar Association
May 2, 2016 Concert de circonstance et retrait obligatoire
À propos de CA Paris, 1er oct. 2015, n° 14/12844
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
June 25, 2009 Conducting Due Diligence
Practicing Law Institute Faculty, San Francisco, CA
May 18, 2018 Conseils en haut de bilan: l’AMF et l’ACPR donnent des précisions sur le périmètre d’activité

Capital Finance, April 16, 2018

March 1, 2010 Consolidation and Competition in the US Equity Markets
Capital Markets Law Journal 2010, Vol. 5, No. 2
September 30, 2015 Contingent Convertible Securities, From Theory to CRD IV

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

January 1, 2005 Contracts, Combinations, Conspiracies, and Conservation: Antitrust in Oil Unitization and the Intertemporal Problem
99 Nw. U. L. Rev. 931
October 1, 2010 Contractually Amendable Retiree Health and Welfare Benefits
Third Circuit Prevents Plan Sponsor from Terminating
The Bankruptcy Strategist, Vol. 27, No.12
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
August 20, 2012 Corporate Governance 2012: Global Overview
Getting the Deal Through – Corporate Governance 2012
July 1, 2013 Corporate Governance 2013: Global Overview
Getting the Deal Through – Corporate Governance 2013
July 2, 2014 Corporate Governance 2014: Global Overview
Getting the Deal Through − Corporate Governance 2014
January 1, 2007 Corporate Governance and Returns to Equity
January 1, 2012 Corporate Governance Practices for Initial Public Offerings in the United States
The Conference Board, January 2012
February 1, 2012 Corporate Governance Practices for IPOs in the United States
Director Notes
August 1, 2014 Corporate Governance Practices in IPOs
Corporate Governance Advisor, July/August 2014
April 17, 2014 Corporate Governance Practices in US Initial Public Offerings
Director Notes, April 2014, The Conference Board
March 1, 2010 Corporate Governance Practices in US Initial Public Offerings
Practical Law - The Journal
August 4, 2016 Corporate Governance Trends and Developments: 2016
July 31, 2017 Corporate Governance Trends and Developments: 2017
July 24, 2009 Corporate Privileges and Confidential Information
Law Journal Press
March 4, 2013 Corporate Restructuring and Bankruptcy
Bankruptcy Settlements and the Common Interest Privilege
New York Law Journal
May 1, 2005 Costly U.S. Laundering Rules Must Change
International Financial Law Review
January 1, 1998 Creating and Recovering Experience: Repetition in Tolstoy
Stanford University Press
April 26, 2011 Credible Living Wills: The First Generation
Whitepaper by Davis Polk & Wardwell LLP and McKinsey & Company
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 1, 2001 Cross-Border Mergers and Acquisitions in Europe: Reforming Barriers to Takeovers
Columbia Business Law Review 601
January 1, 2004 Crossroads in Cambodia: The U.N.'s Responsibility to Withdraw Involvement from the Establishment of a Cambodian Tribunal to Prosecute the Khmer Rouge
90 Va. L. Rev. 893
January 1, 2008 Crying Wolf in the Digital Age: Voluntary Disclosure Under the Stored Communications Act
39 Colum. Hum. Rts. L. Rev. 529 (2008)
September 18, 2018 Cryptocurrency and Other Digital Assets for Asset Managers

Global Legal Insights – Blockchain & Cryptocurrency Regulation 2019

December 1, 2009 Current Market Structure Issues in the U.S. Equity Markets
Coping with Broker-Dealer Regulation and Enforcement
P.L.I. Conference
May 9, 2017 D&O Insurance & Insolvency: Navigating the Intersection

The Corporate Governance Advisor, May/June 2017, Volume 25, Number 3

August 10, 2018 Dare to Share? Waiver Issues in Cross-Border Joint Defense Communications

Global Private Litigation Bulletin (ABA), March 2018

May 1, 2009 Davis Polk's Huebner: A Revival Expert in More Ways Than One
The AmLaw Daily, May 2009
January 1, 2009 Davis Polk's Role in Financial Crisis Outlined in The American Lawyer's "In the Red Zone" by Julie Triedman
December 1, 2009 De l'intervention sur les titres en periode d'offre
Decideurs: Strategie Finance Droit
January 1, 1993 Dealing With Difficult Opposing Counsel, Vol. 4, Issue 13
Federal Litigation Guide Reporter 393
April 1, 2009 Dealmakers of the Year
The American Lawyer, April 2009
April 1, 2005 Debtor-in-Possession Financing
The RMA Journal


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