June 28, 2018 Private Equity Regulatory Update - June 2018
Client Newsletter
May 31, 2018 Private Equity Regulatory Update - May 2018
Client Newsletter
April 30, 2018 Private Equity Regulatory Update - April 2018
Client Newsletter
March 30, 2018 Private Equity Regulatory Update - March 2018
Client Newsletter
February 28, 2018 Private Equity Regulatory Update - February 2018
Client Newsletter
January 30, 2018 Private Equity Regulatory Update - January 2018
Client Newsletter
December 21, 2017 Private Equity Regulatory Update - December 2017
Client Newsletter
December 20, 2017 Davis Polk Previews the New Tax Regime
Client Memorandum
November 28, 2017 Private Equity Regulatory Update - November 2017
Client Newsletter
October 31, 2017 Private Equity Regulatory Update - October 2017
Client Newsletter
September 29, 2017 Private Equity Regulatory Update - September 2017
Client Newsletter
August 31, 2017 Private Equity Regulatory Update - August 2017
Client Newsletter
July 28, 2017 Private Equity Regulatory Update - July 2017
Client Newsletter
June 26, 2017 Private Equity Regulatory Update - June 2017
Client Newsletter
May 25, 2017 Private Equity Regulatory Update - May 2017
Client Newsletter
April 27, 2017 Private Equity Regulatory Update - April 2017
Client Newsletter
March 29, 2017 Private Equity Regulatory Update - March 2017
Client Newsletter
April 11, 2016 Treasury Issues New Anti-Inversion Guidance
Client Memorandum
May 13, 2015 BE-10 Filing Deadline Nears for U.S. Companies With Foreign Subsidiaries and Other Affiliates
Client Memorandum
May 11, 2015 Department of Labor – Fiduciary Advice Definition and Conflict of Interest Rule
Client Memorandum
January 23, 2015 New Procedures for Shortened Debt Tender Offers; Relief Extended to High-Yield Debt
Client Memorandum
January 15, 2015 Revised Jurisdictional Thresholds Under the HSR Act and For the Prohibition of Interlocking Directorates
Client Memorandum
September 15, 2014 Regulators Re-Propose Uncleared Swap Margin, Capital and Segregation Rules for Swap Entities
Client Memorandum
September 4, 2014 European Regulatory Snapshot: Remuneration in the Financial Services Industry 2014
Client Memorandum
November 26, 2013 Investment Management Regulatory Update
September 26, 2013 Investment Management Regulatory Update
Client Newsletter
January 23, 2013 FINRA Issues Voluntary Interim Form for Crowdfunding Portals
Client Memorandum
July 19, 2012 Expansion in Global Reach of U.S. Antitrust Laws
Client Newsflash
February 23, 2012 CFTC Adopts Amendments to Registration Exemptions for CPOs and CTAs and Proposes Harmonization Rules for Registered Fund CPOs
Client Memorandum
February 17, 2011 After Facebook: Secondary Transactions in Private Company Stock
May 20, 2009 SEC Proposes Rule to Allow 1% Shareholders (or a Group of Shareholders holding 1%) to Nominate Directors at Large Companies
Client Newsflash
April 8, 2009 Private Equity Funds
Why Antitrust Matters to Your Private Equity Fund
March 27, 2009 Delaware Supreme Court Reverses Lyondell; Supports Board Discretion in Sale Process
Client Newsflash
January 26, 2009 Private Equity Newsletter
Management Equity Arrangements in Private Equity Transactions Part II: Compensatory Equity Awards
January 13, 2009 Revised Jurisdictional and Exemption-Related Thresholds, and Maximum Civil Penalties, under the HSR Act
Client Memorandum
December 8, 2008 Private Equity Newsletter
Purchasing Portfolio Company Debt at a Discount – Threshold Issues for Private Equity Funds and Their Portfolio Companies
November 17, 2008 Restructuring Debt Securities: Options and Legal Considerations
Client Memorandum
October 30, 2008 In re Bilski: Federal Circuit Narrows Patentability of Business Methods
Client Newsflash
October 2, 2008 Delaware Court Orders Hexion to Pursue Financing of Huntsman Acquisition; Rules Huntsman Has Not Suffered an MAE
Client Newsflash
September 24, 2008 Canada Treaty Amendments Affecting Private Equity Funds
Client Newsflash
September 5, 2008 Private Equity Newsletter
Management Equity Arrangements in Private Equity Transactions Part I: Management's Existing, Rollover and Purchased Equity Investments
June 16, 2008 Private Equity Newsletter
What Every Private Equity Professional Should Know About ERISA’s VCOC Requirements
April 2, 2008 Private Equity Newsletter
Post-IPO Board Independence Requirements for Portfolio Companies
February 15, 2008 Private Equity Newsletter
What are the Practical Implications of the Recent Amendments to Rules 144 and Rule 145?
February 15, 2008 Private Equity Newsletter
What are the Practical Implications of the Recent Amendments to Rules 144 and 145?
November 6, 2007 Private Equity Newsletter
Guidelines for Special Committees
December 7, 2006 Private Equity Funds
Go-Shop Provisions: a New Trend?
September 5, 2006 Private Equity Funds
Client Newsletter
July 13, 2006 Private Equity Newsletter
What Every Investor Should Know Before Acquiring a Large Stake in a Public Company
May 10, 2006 Private Equity Newsletter
A Fund By Any Other Name: The Convergence of Hedge Funds and Private Equity Funds

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