Publications Jan 30, 2014 Securities Law Alert, January 2014 Jan 28, 2014 Duty to Disclose in SEC Reports Certain Penalties Imposed Under the Internal Revenue Code Jan 28, 2014 McLaughlin on Class Actions: Law and Practice (10th Edition 2013) Jan 23, 2014 Revised HSR Act Thresholds Jan 22, 2014 ISS Issues FAQs on Director Qualification Bylaws Jan 21, 2014 Temporary Regulations Regarding Outbound Transactions Jan 21, 2014 NASDAQ Announces Online Availability of Final Compensation Committee Certification Form Jan 21, 2014 New York Court of Appeals Roundup: Medical Monitoring, Shield Law for Journalists, Bidding at Auction Jan 13, 2014 Other People’s Money: The Evolution of Dealing with Financing Execution Risk in LBO & Strategic Mergers Jan 02, 2014 Federal Insurance Office Issues Recommendations for the Modernization and Improvement of Insurance Regulation Dec 27, 2013 Enactment of the New York Non-Profit Revitalization Act of 2013 Dec 20, 2013 Securities Law Alert, December 2013 Dec 20, 2013 Insurance Law Alert, December 2013 Dec 18, 2013 New York Court of Appeals Roundup: Lost Art, Debtor Action, 1993 Trade Center Bombing Dec 16, 2013 The Volcker Rule and Private Funds: Final Regulations Are Out Dec 12, 2013 Estate Planning Update Dec 12, 2013 Corporate Litigation: Post-Merger Control of Attorney-Client Privilege Dec 10, 2013 Cartel Investigations and Civil Litigation in the United States Dec 06, 2013 European Commission Adopts Simplification Plan Under the EU Merger Regulation Dec 05, 2013 SEC Releases FAQs on the Bad Actor Disqualification Rule – Private Investment Funds Perspective ...151152153154155156157158159160...