Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights November 23, 2010 Client Update Delaware Supreme Court Invalidates Airgas Bylaw Amendment In a practical ruling that explicitly acknowledges the relevance of “[p]ractice and understanding in the real world,” ... September 27, 2010 Client Update Reverse Termination Fees: A Resurgence -- The Deal Video Interview In the few years before the credit crisis, financial buyers often arranged to buy businesses in deals that required a term... September 16, 2010 Client Update Impact of the Dodd-Frank Act on Private Equity Funds, Hedge Funds and Their Investment Advisers The Dodd-Frank Wall Street Reform and Consumer Protection Act (the “Dodd-Frank Act”), enacted after a long and intensi... June 9, 2010 Client Update Going Private Transactions with Private Equity Funds Private equity funds have been looking increasingly to the public markets for investment opportunities. In fact, the numbe... March 29, 2010 Client Update Structuring Private Equity Investments in FDIC “Problem” Institutions The number of insured institutions on the FDIC’s “troubled bank” list grew to over 700 at the end of 2009 (nearly th... March 11, 2010 Client Update New “PROP Trading Act” Would Expand “Volcker” Prohibitions Senators Merkley (D-OR) and Levin (D-MI) proposed a bill yesterday that would substantially expand the prohibitions on pro... January 13, 2010 Client Update Delaware Court Holds Misleading Schedule 13D May Give Rise to Damages Claim Under State Law A recent Delaware Chancery Court decision raises the stakes for faulty compliance with Section 13(d) filings, holding that... January 12, 2010 Client Update FDIC and Private Capital: Moving the Goal Lines For the second time since adopting its Final Statement of Policy for Failed Bank Acquisitions (the “Policy Statement”)... October 6, 2009 Client Update Representative Kanjorski Releases Investor Protection, Private Investment Fund Advisers Registration and Federal Insurance Office Proposals A discussion draft of legislation to regulate the over-the-counter (“OTC”) derivatives markets (the “Draft Bill”) ... August 31, 2009 Client Update FDIC Extends Cautious Welcome To Private Capital Investments In Failed Banks At a meeting of the Board of Directors of the FDIC on August 26, 2009, the FDIC adopted a Final Statement of Policy on Qua... Load More
November 23, 2010 Client Update Delaware Supreme Court Invalidates Airgas Bylaw Amendment In a practical ruling that explicitly acknowledges the relevance of “[p]ractice and understanding in the real world,” ...
September 27, 2010 Client Update Reverse Termination Fees: A Resurgence -- The Deal Video Interview In the few years before the credit crisis, financial buyers often arranged to buy businesses in deals that required a term...
September 16, 2010 Client Update Impact of the Dodd-Frank Act on Private Equity Funds, Hedge Funds and Their Investment Advisers The Dodd-Frank Wall Street Reform and Consumer Protection Act (the “Dodd-Frank Act”), enacted after a long and intensi...
June 9, 2010 Client Update Going Private Transactions with Private Equity Funds Private equity funds have been looking increasingly to the public markets for investment opportunities. In fact, the numbe...
March 29, 2010 Client Update Structuring Private Equity Investments in FDIC “Problem” Institutions The number of insured institutions on the FDIC’s “troubled bank” list grew to over 700 at the end of 2009 (nearly th...
March 11, 2010 Client Update New “PROP Trading Act” Would Expand “Volcker” Prohibitions Senators Merkley (D-OR) and Levin (D-MI) proposed a bill yesterday that would substantially expand the prohibitions on pro...
January 13, 2010 Client Update Delaware Court Holds Misleading Schedule 13D May Give Rise to Damages Claim Under State Law A recent Delaware Chancery Court decision raises the stakes for faulty compliance with Section 13(d) filings, holding that...
January 12, 2010 Client Update FDIC and Private Capital: Moving the Goal Lines For the second time since adopting its Final Statement of Policy for Failed Bank Acquisitions (the “Policy Statement”)...
October 6, 2009 Client Update Representative Kanjorski Releases Investor Protection, Private Investment Fund Advisers Registration and Federal Insurance Office Proposals A discussion draft of legislation to regulate the over-the-counter (“OTC”) derivatives markets (the “Draft Bill”) ...
August 31, 2009 Client Update FDIC Extends Cautious Welcome To Private Capital Investments In Failed Banks At a meeting of the Board of Directors of the FDIC on August 26, 2009, the FDIC adopted a Final Statement of Policy on Qua...