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Date Title Type
March 2005 20 Years of Dematerialization of Securities Article 
October 10, 2013 2013 European Private Target M&A Deal Points Study, ABA Article 
January 20, 2016 2015 European Private Target M&A Deal Points Study, ABA Article 
June 16, 2014 A Continually Changing Landscape for Insurers Article 
June 8, 2017 A Look at Credit Agreements in Insurance Article 
August 23, 2012 A Practitioner’s Guide to Conflicts of Interest in the Financial Services Industry Article 
November 21, 2014 ABA Publishing: Europe - French Chapter in The Global Directors and Officers Deskbook Article 
Fall 2006 Advising Today's Board of Directors: Lessons Learned from the History of Corporate Governance Law Article 
April 29, 2015 Alternative Assets Article of Interest: Key Considerations for Investing in Marijuana Companies Article 
April 7, 2005 Antitrust Alert: Change in Premerger Notification Reporting Requirements Concerning Formation and Acquisition of Interests in Non-Corporate Entities Client Alert/Update 
March 1, 2005 Antitrust Alert: Revised Thresholds Under the Hart-Scott-Rodino Act and Rules Client Alert/Update 
January 17, 2014 Asset Management Alert : AMF - Décision de sanction, 4 décembre 2013 - Les pratiques commerciales de commercialisation de produits complexes aux clients non-professionnels Client Alert/Update 
January 28, 2014 Asset Management Alert : Position-recommandation AMF 2006-23 du 21 janvier 2014 – Questions-réponses relatives au régime applicable aux conseillers en investissements financiers Client Alert/Update 
November 25, 2013 Asset Management Alert : AMF - Décision de sanction, 28 octobre 2013 - La commercialisation des produits structurés aux clients professionnels Client Alert/Update 
January 13, 2014 Asset Management Alert : AMF - Décision de sanction, 5 décembre 2013 - L'indépendance de la SGP vis-à-vis de son groupe d'appartenance Client Alert/Update 
October 28, 2013 Asset Management Alert : AMF - Décision de sanction, 6 août 2013 - Règles de rédaction des documents commerciaux Client Alert/Update 
January 16, 2014 Asset Management Alert : Fraude Madoff & SGP - Opportunité pour les investisseurs français de prétendre à une compensation partielle de leurs pertes liées a la fraude Madoff : comment les sociétés de gestion peuvent-elles agir ? Client Alert/Update 
July 1, 2014 Asset Management Alert: AIF Marketing Instruction Client Alert/Update 
October 1997 Banking and Finance Law I Article 
October 1999 Banking and Finance Law II Article 
November 2001 Banking and Finance Law III Article 
October 2004 Banking and Finance Law IV Article 
October 2007 Banking and Finance Law V Article 
February 3, 2016 Banking, Finance & Insurance Letter - Actualité Juridique Décembre 2015-Janvier 2016 Client Alert/Update 
August 24, 2016 BestWeek: AIG, Prudential Wary of New SIFI Liquidity Rules Media Mentions 
December 5, 2016 BestWeek: Watchers: Rollback of Fed Regulation Would Highlight State Effectiveness Media Mentions 
March 27, 2006 Beyond Boring Article 
January 18, 2016 Bloomberg Business: Renault Faces Criticism Over Disclosure of Emissions Raids Media Mentions 
November 22, 2016 Bloomberg: Bankers Ridiculed by Trump Are Already Embracing His Future Regime Media Mentions 
July 28, 2016 Bloomberg: Wall Street Said to Face Renewed Pressure on Risky Lending Media Mentions 
December 13, 2016 Board IQ: Some Fear Fallout After Director-Attorney Bubble Popped Media Mentions 
March 1999 Bonds and Issues Article 
April 2006 Business Confidential Information in the French and U.S. Freedom of Information Acts Article 
September 2011 Capital Markets Treaty Article 
May 22, 2015 Capital New York: Capital Law Report: Lawsky's Legacy; Preet's Advice to Grads Media Mentions 
October 16, 2017 Capital Requirements for Insurance Businesses: What They Are, Why They Matter Article 
August 10, 2016 Capital Standards for Insurance Groups: What's Next? Article 
July 13, 2017 Capital Standards for US Insurers – What’s New? Client Alert/Update 
April 21, 2012 Carruzzo Comments on New CFTC Rules for Mutual Funds Media Mentions 
December 1, 2011 Carruzzo Comments to Derivatives Week on ISDA Sample Provisions for Negotiating Collateral Segregation Arrangements Media Mentions 
August 24, 2016 CNBC: How Wall Street Banks Can Keep Their New Investors Happy Media Mentions 
March 23, 2016 CNBC: Negative Interest Would Test Banks' Creativity Media Mentions 
August 4, 2017 Compliance Reporter: ISDA Outlines T+2 Protocol Media Mentions 
September 26, 2013 Controlling a U.S. Insurance Company — Key Regulatory Basics That Funds Need To Know Article 
December 19, 2011 Corporate Alert: Non-Public Submissions from Foreign Private Issuers Client Alert/Update 
May 21, 2012 Corporate Alert: Reconsidering NDAs in Light of Martin Marietta Materials, Inc. v. Vulcan Materials Co. Client Alert/Update 
January 26, 2011 Corporate Alert: SEC Adopts Final “Say on Pay” Rules Under Dodd-Frank Client Alert/Update 
July 11, 2012 Corporate Alert: SEC Adopts New Rule on Listing Standards for Compensation Committees Client Alert/Update 
August 28, 2008 Corporate Alert: SEC Issues Guidance on the Use of Company Website Client Alert/Update 
September 12, 2011 Corporate Alert: SEC Will Not Seek Rehearing of Court Decision Striking Down Mandatory Proxy Access; Amendments to Promote Shareholder Proposals for Proxy Access to be in Effect for the Upcoming Proxy Season Client Alert/Update 
May 2004 Corporate America's Nominations Process: The Winds of Change - Part I Article 
June 2004 Corporate America's Nominations Process: The Winds of Change Part II Article 
July 2003 Corporate Department Alert: New NYSE/Nasdaq Rules Require Shareholder Approval of Option Plans, Amendments and Repricings Client Alert/Update 
June 2004 Corporate Department Update: Additional Form 8-K Disclosure Requirements and Acceleration of Filing Deadline Client Alert/Update 
January 2004 Corporate Department Update: AMEX Corporate Governance Rules Client Alert/Update 
November 2003 Corporate Department Update: Approval of the NASDAQ Corporate Governance Rule Proposals by the Securities and Exchange Commission Client Alert/Update 
November 2003 Corporate Department Update: Approval of the NYSE Corporate Governance Rule Proposals by the Securities and Exchange Commission Client Alert/Update 
February 2003 Corporate Department Update: Audit Committee Financial Experts and Codes of Ethics Client Alert/Update 
February 2003 Corporate Department Update: Disclosure of Off-Balance Sheet Arrangements in MD&A Client Alert/Update 
October 2003 Corporate Department Update: Ground Rules for Shareholder Approval of Equity Compensation Plans Client Alert/Update 
May 2003 Corporate Department Update: New SEC Rules Implement Stricter Audit Committee Standards Client Alert/Update 
February 2003 Corporate Department Update: Professional Responsibility Rules for Attorneys Client Alert/Update 
February 2004 Corporate Department Update: Recent Modifications to the Rule 10b-18 Safe Harbor for Issuer Repurchases of Common Stock and New Disclosure Requirements for Issuer Stock Repurchases Client Alert/Update 
June 2003 Corporate Department Update: SEC Adopts Final Rules Requiring Annual Management Report on Internal Control Over Financial Reporting Client Alert/Update 
January 23, 2003 Corporate Department Update: SEC Approves Proxy Voting Disclosure Rules for Funds and Advisers Client Alert/Update 
January 2004 Corporate Department Update: SEC Clarification of its Rules Restricting the Use of Non-GAAP Financial Measures and Requiring Earnings Information to be Provided on Form 8-K Client Alert/Update 
March 2004 Corporate Department Update: SEC Extends Compliance Dates for Rules Requiring Annual Management Report on Internal Control Over Financial Reporting Client Alert/Update 
June 6, 2003 Corporate Department Update: The SEC Adopts Final Rules Prohibiting Improper Influence on the Conduct of Audits Client Alert/Update 
February 2003 Corporate Department Update: Use of Non-GAAP Financial Measures and New Regulation G Client Alert/Update 
July 21, 2016 Curing Substantive Ambiguities In Debt Documentation Article 
September 14, 2009 Dealer's Choice Article 
April 28, 2017 Debt Dialogue: April 2017 Newsletter 
August 15, 2016 Debt Dialogue: August 2016 Newsletter 
August 31, 2017 Debt Dialogue: August 2017 Newsletter 
December 21, 2016 Debt Dialogue: December 2016 Newsletter 
February 28, 2017 Debt Dialogue: February 2017 Newsletter 
January 26, 2017 Debt Dialogue: January 2017 Newsletter 
July 18, 2016 Debt Dialogue: July 2016 Newsletter 
July 31, 2017 Debt Dialogue: July 2017 Newsletter 
June 15, 2016 Debt Dialogue: June 2016 Newsletter 
June 29, 2017 Debt Dialogue: June 2017 Newsletter 
March 31, 2017 Debt Dialogue: March 2017 Newsletter 
May 30, 2017 Debt Dialogue: May 2017 Newsletter 
November 17, 2016 Debt Dialogue: November 2016 Newsletter 
October 24, 2016 Debt Dialogue: October 2016 Newsletter 
September 19, 2016 Debt Dialogue: September 2016 Newsletter 
November 12, 2012 Derivatives Alert: Derivatives Regulations under Dodd-Frank - Impact on End-User Client Alert/Update 
December 1, 2016 Despite Momentum, Marijuana Remains Risky Business Article 
May 2004 Dienstag and Kopelman Speak to The Metropolitan Corporate Counsel About Corporate Governance Article 
August 2005 Dienstag Quoted in Mergers & Acquisitions Report Media Mentions 
January 6, 2014 Directive AIFM : Vers un marché alternatif régulé ? Article 
August 11, 2016 Doing Business with Israel: What Israelis Should Know When Raising Private Funds in the U.S. Article 
April 2014 Droit & Patrimoine: Le SEPA ou le défi de l’Europe des paiements Article 
June 25, 2014 Environmental Alert: Extension of the New York State Brownfield Cleanup Program and Eligibility for Tax Credits Client Alert/Update 
January 8, 2007 Etablissements étrangers et opérations de transfert de créances: le monopole bancaire à l' épreuve Article 
May 21, 2014 EU Law Alert: Merger Control in Europe - What Changes in 2014 Client Alert/Update 
June 12, 2013 European Derivatives Regulations - Impact on Market Participants Article 
July 28, 2016 Expanding Innovation Law: Information Technology and Insurance Article 
2012 Fear of Commitment: Why CA, Inc. v. AFSCME Leaves Mandatory Advancement Bylaws Undisturbed Article 
April 23, 2014 Financial Institutions Alert: Collateral Segregation for Uncleared Swaps - CFTC Regulations and Industry Implementation Client Alert/Update 
December 6, 2011 Financial Institutions Alert: Collateral Segregation for Uncleared Swaps - Proposed Industry Provisions Client Alert/Update 
August 21, 2014 Financial Institutions Alert: ISDA Publishes Credit Derivatives Protocol Client Alert/Update 
July 16, 2015 FinTech: Why Such a Fad? Media Mentions 
March 2011 Focus on Dodd-Frank Act Article 
September 2004 French Securities Law Article 
December 20, 2016 From the Calling of an Emergency Meeting of the Board to the Revocation of the Chairman Article 
May 10, 2017 Fund Directions Intelligence: Common Ownership: Mutual Fund Industry Dukes it out with Economists Over Antitrust Theory Media Mentions 
April 1, 2016 Funds Talk: April 2016 Newsletter 
April 3, 2017 Funds Talk: April 2017 Newsletter 
August 4, 2015 Funds Talk: August 2015 Newsletter 
August 1, 2016 Funds Talk: August 2016 Newsletter 
December 1, 2015 Funds Talk: December 2015 Newsletter 
February 1, 2016 Funds Talk: February 2016 Newsletter 
January 4, 2016 Funds Talk: January 2016 Newsletter 
June 1, 2015 Funds Talk: June 2015 Newsletter 
June 01, 2017 Funds Talk: June 2017 Newsletter 
March 1, 2016 Funds Talk: March 2016 Newsletter 
March 1, 2017 Funds Talk: March 2017 Newsletter 
May 2, 2016 Funds Talk: May 2016 Newsletter 
November 2, 2015 Funds Talk: November 2015 Newsletter 
November 1, 2016 Funds Talk: November 2016 Newsletter 
October 1, 2015 Funds Talk: October 2015 Newsletter 
October 4, 2016 Funds Talk: October 2016 Newsletter 
September 1, 2015 Funds Talk: September 2015 Newsletter 
September 1, 2017 Funds Talk: September 2017 Newsletter 
April 12, 2012 FundsTalk: April 2012 Newsletter 
April 2013 FundsTalk: April 2013 Newsletter 
December 6, 2012 FundsTalk: December 2012 Newsletter 
January 18, 2012 FundsTalk: January 2012 Newsletter 
March 14, 2014 FundsTalk: March 2014 Newsletter 
May 4, 2012 FundsTalk: May 2012 Newsletter 
October 14, 2013 FundsTalk: October 2013 Newsletter 
September 17, 2013 FundsTalk: September 2013 Newsletter 
February 18, 2016 Hedge Funds Face Increased Margin Requirements and Trading Costs Under Final Swap Article 
2011 Hedge Funds Jurisdictional Comparisons Article 
October 2011 Hedge Funds Jurisdictional Comparisons, First Edition 2011 Article 
January 2014 Hedge Funds Jurisdictional Comparisons, Second Edition 2014 Article 
November 2, 2016 Hellas' Lessons On Noncontractual Claims For Noteholders Article 
May 25, 2017 iHeart and Other Unconventional CDS Credit Events Article 
January 1, 2014 Incentive Equity Compensation Survey: Private Equity Firm Portfolio Companies Article 
May 20, 2015 Insurance Alert: Draft Senate Bill Would Curb Dodd-Frank's Effects on Insurers Client Alert/Update 
February 13, 2015 Insurance Alert: Financial Body Releases Survey Results on Credit Risk Client Alert/Update 
February 18, 2015 Insurance Alert: NY Insurance Regulators Issue Guidance on Cyber Security, Including ERM Aspects Client Alert/Update 
May 12, 2014 Insurance Practice Group Alert: Capital Requirements for Insurers under Collins Amendment -- the Saga Continues Client Alert/Update 
December 17, 2013 Insurance Practice Group Alert: Federal Insurance Office Issues Long-Awaited Modernization Report Client Alert/Update 
October 21, 2013 Insurance Practice Group Alert: Global Insurance Body Issues Draft Framework for Regulation Including Capital Adequacy Client Alert/Update 
February 4, 2014 Insurance Practice Group Alert: NAIC Provides ORSA Guidance in New Feedback to Industry Client Alert/Update 
March 19, 2014 Insurance Practice Group Alert: NAIC to Consider Additional Holding Company Act Changes in 2014 Client Alert/Update 
January 13, 2014 Insurance Practice Group Alert: NY Insurance Regulator Proposes New Enterprise Risk and Group Solvency Requirements Client Alert/Update 
April 7, 2014 Insurance Practice Group Alert: Proposed GSE Reforms Could Subject Private Mortgage Insurers to Federal Approval Requirements Client Alert/Update 
March 13, 2014 Insurance Practice Group Alert: Senate Bill Would Enhance Fed's Ability to Tailor Capital Requirements for Insurers Client Alert/Update 
August 19, 2014 Insurance Practice Group Alert: Use of Credit Ratings in Capital Requirements for Insurers -- The Collins "Fix" Client Alert/Update 
December 17, 2013 Insurance-Linked Securities Article 
March 28, 2016 International Financial Law Review: How the Volcker Rule Could Have Succeeded Media Mentions 
May 31, 2016 International Financial Law Review: US Bank Stress Tests Too Stringent, Opaque Media Mentions 
September 7, 2016 International Insurance Body Announces New Standards for Identifying Globally Important Insurers Article 
June 22, 2016 International Insurance Body Announces New Standards for Identifying Globally Important Insurers Client Alert/Update 
August 2013 International Joint Ventures - A Guide for U.S. Lawyers, ABA Article 
September 14, 2016 Investopedia: SEC Adding Social Media Disclosure to Form ADV Media Mentions 
July 31, 2017 ISDA Publishes the 2017 OTC Equity Derivatives T+2 Settlement Cycle Protocol Client Alert/Update 
July 25, 2016 ISDA Releases Self-disclosure Letter in Connection With Global Uncleared Swap Margin Rules Client Alert/Update 
January 18, 2017 KL Snapshot #11 – November-December 2016 Newsletter 
February 22, 2016 KL Snapshot #6 - Novembre-Décembre 2015 Newsletter 
March 29, 2004 Kopelman and Dienstag Interviewed by The Corporate-Counsel.Net Article 
October 16, 2000 Kopelman Discusses Regulation FD in Women's Wear Daily Media Mentions 
June 2010 Kopelman Discusses Successful CEO Transitions in The Director’s Guide to CEO Succession Media Mentions 
April 14, 2010 Kopelman Participates in NACD Directorship Roundtable at NYSE Media Mentions 
October 22, 2009 Kopelman Quoted in Article on Say on Pay Media Mentions 
September 7, 2007 Kramer Levin Noted as Counsel in Aldabra 2's Acquisition of Boise Cascade Paper and Packaging Assets Media Mentions 
October 1, 2007 Kramer Levin Representation of Aldabra Noted in The Deal Media Mentions 
April 28, 2017 La révocation du président pour différend stratégique avec l’actionnaire majoritaire Article 
May 2005 L'attribution gratuite d'actions aux salariés et dirigeants Article 
July 23, 2015 Law 360: 5 Years After Dodd-Frank, Cross-Border Harmony Still Far Off Media Mentions 
February 10, 2016 Law 360: Long Slog To EU-CFTC Clearing Deal May Color Future Talks Media Mentions 
October 21, 2015 Law360: 5 Tips to Get the Most Out of Rep & Warranty Insurance Media Mentions 
September 14, 2015 Law360: Fall M&A Forecast Uncertain As Summer of Big Deals Fades Media Mentions 
June 3, 2016 Law360: Fed Unveils Capital Rules For Insurance Cos. Media Mentions 
February 21, 2017 Law360: Global M&A Set to Rise in '17, US Avoids Post-Election Slump Media Mentions 
May 12, 2015 Law360: Key Considerations for Investing In Marijuana Companies Media Mentions 
April 13, 2012 Law360: Key Takeaways From Southern Peru Article 
November 9, 2016 Law360: M&A Outlook Rocky Following Trump Victory Media Mentions 
October 14, 2016 Law360: Real Estate Giants: Central Park Tower, New York Media Mentions 
March 22, 2017 Law360: Soaring Valuations Open Doors for Banking M&A Resurgence Media Mentions 
December 21, 2016 Law360: The Biggest New Jersey Cases of 2016 Media Mentions 
September, 5, 2017 Law360: UTC, Rockwell Collins Deal Marks Record Aerospace Tie-Up Media Mentions 
March 2004 LBO Opportunities and Challenges in Bankruptcy and Reorganization Article 
April 18, 2016 Le dispositif de réduction ISF dans le cadre d’une offre au public de titres à l’épreuve de la pratique Article 
October 22, 2007 Les nanotechnologies et l'obligation de précaution Article 
June 27, 2013 Litigation and Corporate Governance Alert: Delaware Chancery Court Upholds Validity of “Forum Selection Bylaws” Client Alert/Update 
July 10, 2015 Looking at EU to Predict Dodd-Frank Incentive Pay Rules Article 
March 28, 2014 M&A and Corporate Governance Alert: Delaware Supreme Court Finds Business Judgment Rule Applies to Freeze-Out Mergers When Conditioned upon Approval of Special Committee and Majority-of-the-Minority Stockholders Vote Client Alert/Update 
February 19, 2014 M&A and Shareholder Litigation Alert: Resisting Settlement: Delaware Court of Chancery Dismisses Meritless Public Company Shareholder M&A Class Action Suits Client Alert/Update 
November 5, 2010 Managing Credit Risk of Derivatives Counterparties - A Practical Approach Article 
April 30, 2010 Managing Management in Joint Ventures Article 
April 26, 2009 Margae, Inc. v. Clear Link Technologies Article 
April 22, 2016 Margining of Uncleared Swaps: Determining Whether You Are Caught Client Alert/Update 
August 20, 2015 Marketplace: Why Drugmakers are Suddenly Merging Media Mentions 
March 17, 2008 Marquardt Interviewed by Le Monde du Droit Media Mentions 
September 14, 2009 Material Adverse Change Trends -- Quantitative Alternatives: Breathing Life into a Paper Tiger Article 
February 29, 2012 Minority Investments in U.S. Insurance Companies - Rebutting the Presumption of 'Control' Article 
October 27, 2010 Mitigating Risk in Buyout Exits Article 
November 20, 2015 Modern Healthcare: New Jersey Hospitals Challenge State's Approval of Health Plan Media Mentions 
October 7, 2015 NAIC Proposes Tougher Risk-Based Capital Requirements and Disclosures on Investment Affiliates, Reserve Funding Transactions Client Alert/Update 
September 15, 2016 NAIC Summer National Meeting – Insurance Regulators Seek Comment on Group Capital Requirements Client Alert/Update 
December 4, 2015 NAIC Tackles Capital Requirements, Redundant Life Reserves and More at Fall National Meeting Client Alert/Update 
August 2002 New Corporate Governance Proposals from the New York Stock Exchange Client Alert/Update 
November 29, 2016 New SEC Guidance on Five-Business-Day Tender Offers and Exchange Offers Client Alert/Update 
August 1, 2002 New Securities and Exchange Commission Guidance for Management's Discussion and Analysis of Financial Condition and Results of Operations Client Alert/Update 
August 18, 2015 New York Enacts Regulatory Safe Harbor for Group Life and Group A&H Insurance Sales to Multinational Clients Covering Non-US Employees Article 
February 3, 2016 New York Law Journal: Awards Presented at the State Bar Annual Meeting Diversity 
December 1, 2016 New York Post: Goldman Sachs Poised for DC Comeback Thanks to Trump Media Mentions 
March 28, 2014 Nonprofit Alert: The Nonprofits Revitalization Act of 2013 Requires Many Changes for New York Nonprofit Organizations Client Alert/Update 
October 2002 Nonprofit Governance and Management Article 
July 31, 2015 NY Enacts Regulatory Safe Harbor for Group Life and Group A&H Insurance Sales to Multinational Clients Covering Non-US Employees Client Alert/Update 
December 4, 2015 OCIE Director Indicates Move to Administer Routine Examinations of Exempt Reporting Advisors Client Alert/Update 
July 14, 2011 OTC Derivatives Clearing: How Does It Work and What Will Change? Article 
February 18, 2016 Politico: New Jersey Playbook-Chronicles of Omnia Media Mentions 
November 21, 2016 Post-Election Outlook – Key Issues Affecting Insurers Client Alert/Update 
October 2000 Practical Considerations for Issuers in Light of the SEC's New Selective Disclosure Rules Client Alert/Update 
May 12, 2017 Priorités de l’AMF dans le cadre de la revue d’EMIR Client Alert/Update 
June 2, 2014 Privacy, Data Protection and Cybersecurity Alert: DOJ Cybercrime Crackdown Client Alert/Update 
July 24, 2014 Profile: Dealmakers Q&A: Kramer Levin’s Howard Spilko Profile 
June 16, 2016 Profile: Jewish Hall of Fame Welcomes Riverdalian Profile 
July 9, 2007 Profile: Le Figaro - Economie: Paszkiewicz Profile 
May 10, 2017 Projet de règlement de la Commission européenne modifiant le règlement 648/2012 dit « règlement EMIR » Client Alert/Update 
September 9, 2016 Recent Trends in European SPAs and Comparisons with US Practice Article 
June 18, 2012 Reconsidering NDAs Article 
April 2014 Recueil Dalloz: Crowdfunding, Bitcoin: Quelle Régulation? Article 
May 9, 2017 Règlement délégué 2017/751 du 16 mars 2017 de la Commission Client Alert/Update 
June 20, 2012 Regulated Swap Entities Under Dodd-Frank Article 
December 2002 Regulation FD Update: The SEC Brings Its First Reg FD Enforcement Actions Client Alert/Update 
Summer 2005 Reid Feldman Move Mentioned in Focus Europe Media Mentions 
October 22, 2014 Representations and Warranties Insurance: The Drivers Behind the Explosive Growth Article 
June 24, 2016 Reuters: Alternative Lenders Step into Revolving Credits as 2018 Maturity Wall Looms Media Mentions 
December 16, 2016 Reuters: Hopes Rise That High-risk Lending Curbs Will Ease Under Trump Media Mentions 
June 3, 2016 Reuters: LPC: Demand for Loans Drives Dividend Craze Media Mentions 
October 13, 2016 Reuters: LPC: US Bankers Try to Boost Post-Election M&A Activity Media Mentions 
June 2014 Revue Banque: Chronique Droit des moyens et services de paiement, Actualités avril-début mai 2014: crowdfunding, monnaie virtuelles et bitcoin, droit au compte et services bancaires de base Article 
April 2014 Revue Banque: Chronique Droit des moyens et services de paiement, Actualités février-début mars 2014: titres-restaurant dématérialisés, établissements financiers habilités à exercer en France, bitcoin, crowdfunding, comptes bancaires inactifs, norme PCI DSS, paquet paiement (DSP 2 et règlement CMI) Article 
March 2014 Revue Banque: Chronique Droit des moyens et services de paiement, Actualités janvier-début février 2014: SEPA, moyens de paiement scripturaux, bitcoin, protection des données sensibles de paiement sur internet Article 
October 2014 Revue Banque: Chronique Droit des moyens et services de paiement, Actualités juill./août-début Sept. 2014: rapports annuels de l’ACPR, de Tracfin et de l’ Observatoire de la sécurité des cartes de paiement, bitcoin, droit des comptes de paiement Article 
May 2014 Revue Banque: Chronique Droit des moyens et services de paiement, Actualités mars-début avril 2014: loi Hamon relative à la consommation, protection de la clientèle, crowdfunding, paquet paiement (DSP 2 et règlement CMI), données de paiement Article 
November 1, 2014 Revue Banque: Chronique Droit des moyens et services de paiement, L’encaissement de fonds pour le compte de tiers vaut-il fourniture de services de paiement? Article 
July 2014 Revue Banque: Chronique Droit des moyens et services de paiement, Le droit nouveau du crowdfunding par prêts et par dons Article 
September 2014 Revue Banque: Chronique Droit des moyens et services de paiement, Les monnaies virtuelles dans tous leurs états Article 
February 2014 Revue Internationale des Services Financiers: principe de la personne prudente dans le cadre de la directive Solvabilité 2 Article 
March 3, 2009 Ritter, Kopelman Comment on American Recovery & Reinvestment Act Impact on Executive Comp Media Mentions 
January 24, 2003 Sarbanes-Oxley Update: New Rules Impact Investment Companies and Investment Advisers Client Alert/Update 
July 11, 2013 SEC Adopts Final Rules Lifting the Ban On General Solicitation and General Advertising for Some Private Placements Client Alert/Update 
June 10, 2016 SEC Enforcement Action Highlights Need for PE Fund Advisers to Address Potential Broker-Dealer Issue Client Alert/Update 
August 25, 2016 SEC Expands Disclosure Demands for Investment Advisers Media Mentions 
September 1, 2016 SEC Steps Up Scrutiny of Adviser Use of Social Media Media Mentions 
July 2, 2008 Securities Alert: What Is Your Position? Swaps, Groups and Equity Ownership After CSX Corporation v. The Children's Investment Fund Client Alert/Update 
September 29, 2010 Securities Enforcement Alert: Fifth Circuit Reinstates Insider Trading Claims Against Mark Cuban Client Alert/Update 
July 3, 2013 Securities Litigation Alert: Second Circuit Addresses American Pipe Tolling and "Relation Back" in Federal Securities Class Actions Client Alert/Update 
August 23, 2016 Security Interests: Life Insurance Policies Article 
March 2012 Seed Capital Arrangements Article 
June 4, 2015 Senate May Soften Dodd-Frank’s Blow to Insurers Article 
May 24, 2016 Sharing Risk in the Sharing Economy: Insurance Regulation in the Age of Uber Article 
July 2004 Some Questions Potential Directors Should Consider Asking Before Agreeing to Join a Board Article 
October 31, 2014 Spilko Quoted in Bloomberg News Media Mentions 
March 26, 2012 Sponsoring Management Instead of Buying Companies Article 
July 12, 2016 Structured Credit Investor: Reputation Management Media Mentions 
March 3, 2003 Target Shareholders Try to Establish Rights After Mergers Fail Article 
April 22, 2008 Terra Firma and Shared Cooperation: How Land Frameworks Facilitate Pro-Food Security Public-Private Partnerships Article 
October 1, 2009 Texas District Court Dismisses Insider Trading Charges Against Mark Cuban and Holds that Misappropriation Theory Requires Duty Not to Trade Article 
April 12, 2012 The Achilles’ Heel of Restructuring Greece Article 
September 24, 1999 The American Lawyer's "Big Suits" Column Notes Kramer Levin's Win on Behalf of Zeneca Media Mentions 
April 18, 2016 The Daily Deal: Advent’s Latest and largest Fund Eschews a Hurdle Rate Media Mentions 
October 17, 2016 The Deal Pipeline: Don't Expect Large-Cap Investment Banks to Follow Deal Volume into the Middle Market Media Mentions 
March 9, 2017 The Deal: Atlantic Street's Lombart Buys in Canada Media Mentions 
December 3, 2015 The Deal: Israeli Biotech Companies Come to U.S. for Financing Media Mentions 
March 7, 2011 The End-User Clearing Exception Article 
January 12, 2017 The Hedge Fund Law Report: Best Practices for Fund Managers When Entering Into ISDAs: Negotiation Process and Tactics Media Mentions 
March 30, 2017 The Hedge Fund Law Report: New York Appellate Court Affirms Broad Rights of Parties in CDS Transactions to Pursue Their Economic Self-Interests, Despite Adverse Effect on Counterparties Media Mentions 
June 7, 2005 The Limits of Administrative Authorities' Discretionary Power Article 
April 2013 The Metropolitan Corporate Counsel: "Say On Pay 2013 And Some Governance Observations For Compensation Committees" Media Mentions 
December 2010 The Metropolitan Corporate Counsel: Helping Chinese Companies Access U.S. Capital Markets Media Mentions 
April 1, 2011 The Metropolitan Corporate Counsel: Say-On-Pay and Corporate Governance Article 
August 2002 The Sarbanes-Oxley Act of 2002 Client Alert/Update 
September 2002 The SEC Implements CEO/CFO Certification Under Sarbanes-Oxley Client Alert/Update 
August 10, 2017 Understanding When Claims Travel With The Debt Article 
October 14, 2014 Use of Credit Ratings in Capital Requirements for Insurers - The Collins 'Fix' Article 
October 26, 2015 Use of Representations and Warranties Insurance Grows in Middle-Market Transactions Article 
January 11, 2008 View from the Hill Article 
May 12, 2015 Wall Street Wars: The Epic Battles with Washington that Created the Modern Financial System Article 
July 24, 2000 Weinberger, Wagner, and Rossettie Have Lead Article in New York Law Journal Intellectual Property Supplement Media Mentions 
December 19, 2016 What Happens to the ‘Insured vs. Insured’ Exclusion After the St. Paul Mercury Decision? Article 
April 18, 2012 What to Expect from CLOs in 2012 Article 
February 7, 2013 What You Should Know About the New Trade Secrets Laws Article 
May 31, 2016 When are Add-on Bonds or Incremental Loans Fungible? Client Alert/Update 
September 13, 2008 Zadourian Comments on Freddie Mac, Fannie Mae and CDSs Media Mentions 

Funds Talk: August 2017

Funds Talk provides legal commentary on the news and events that matter most to alternative asset managers and funds. Learn More

ISDA Publishes the 2017 OTC Equity Derivatives T+2 Settlement Cycle Protocol

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Debt Dialogue: July 2017

Debt Dialogue focuses on recent developments and recurring interpretive issues and principles that debt-focused investors commonly encounter. Learn More