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November 11, 2016 FINRA's Approval Requirement: Considerations for Non-US Acquirers of US Broker-Dealers

International Finanancial Law Review, November 2016

September 15, 2014 Weak Consumer Exams Are Holding Up M&A Deals
Bank Director, September 15, 2014
May 27, 2014 Dodd-Frank Concentration Limit on Financial Institution M&A: Visual Memorandum
Client Memorandum
April 2, 2014 U.S. Intermediate Holding Company: Structuring and Regulatory Considerations for Foreign Banks
Visual Memorandum
November 18, 2013 SEC Proposes Rules for Crowdfunding Intermediaries
Client Memorandum
June 26, 2013 Delaware Court of Chancery Upholds Statutory and Contractual Validity of Exclusive Forum-Selection Bylaws
Client Memorandum
March 29, 2010 Structuring Private Equity Investments in FDIC “Problem” Institutions
Private Equity Newsletter
August 31, 2009 FDIC Extends Cautious Welcome To Private Capital Investments In Failed Banks
Client Memorandum
August 3, 2009 Killing the Golden Goose? The FDIC's Proposed Policy Statement on Private Equity
Davis Polk Web Forum
March 25, 2009 The Public-Private Investment Program
Client Memorandum