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Date Title
April 6, 2005 10 Critical Considerations for Your BPO Contract
March 2005 20 Years of Dematerialization of Securities
September 1, 2009 A Favored Alternative to Reorganization in Bankruptcy - Section 363 of the Code
2003 A Measure of Justice: The Early History of German-Jewish Reparations
Fall 2006 Advising Today's Board of Directors: Lessons Learned from the History of Corporate Governance Law
April 2009 After The Big Bang: The New Credit Default Swap Landscape
June 2006 Amendment to New York Publication Requirements for Limited Liability Entities
April 7, 2005 Antitrust Alert: Change in Premerger Notification Reporting Requirements Concerning Formation and Acquisition of Interests in Non-Corporate Entities
March 1, 2005 Antitrust Alert: Revised Thresholds Under the Hart-Scott-Rodino Act and Rules
November 2005 Auctions in the M&A Process
May 17, 2010 Auguste Quoted in Hedge Funds Review Article about Hedge Funds in China
October 6, 2009 Auguste Quoted in The PIPEs Report
October 1997 Banking and Finance Law I
October 1999 Banking and Finance Law II
November 2001 Banking and Finance Law III
October 2004 Banking and Finance Law IV
October 2007 Banking and Finance Law V
March 27, 2006 Beyond Boring
May 1, 2013 Bloomberglaw.com: Untangling a Multi-Jurisdictional Transaction: Be Prepared!
March 1999 Bonds and Issues
April 2006 Business Confidential Information in the French and U.S. Freedom of Information Acts
September 2011 Capital Markets Treaty
September 26, 2008 Carruzzo Comments on Hedge Fund Consideration of Legal Strategy with Regard to Lehman Brothers
November 21, 2008 Carruzzo Comments on Legal Strategy Being Considered by Hedge Funds With Out-Of-The-Money Claims Against Lehman
March 10, 2009 Carruzzo Comments on Lehman Request to Enter into Hedging Transactions
April 21, 2012 Carruzzo Comments on New CFTC Rules for Mutual Funds
January 26, 2009 Carruzzo Comments on Possibility of SEC, CFTC Merger
December 1, 2011 Carruzzo Comments to Derivatives Week on ISDA Sample Provisions for Negotiating Collateral Segregation Arrangements
September 10, 2012 Carruzzo Quoted in Derivatives Week Article about Regulatory Costs’ Impact on End-Users
December 2004 Confidence Builders For Seller's Reps
April 7, 2006 Corporate & Investments Update: "SEC and Three Hedge Funds Settle Action For Engaging in Illegal 'PIPE' Trading Scheme"
December 19, 2011 Corporate Alert: Non-Public Submissions from Foreign Private Issuers
May 21, 2012 Corporate Alert: Reconsidering NDAs in Light of Martin Marietta Materials, Inc. v. Vulcan Materials Co.
January 26, 2011 Corporate Alert: SEC Adopts Final “Say on Pay” Rules Under Dodd-Frank
July 11, 2012 Corporate Alert: SEC Adopts New Rule on Listing Standards for Compensation Committees
August 28, 2008 Corporate Alert: SEC Issues Guidance on the Use of Company Website
December 2, 2008 Corporate Alert: SEC Makes Changes to Foreign Private Issuer Reporting Requirements
November 2008 Corporate Alert: SEC Makes it Easier and Less Expensive for Foreign Private Issuers to Have Non-Registered Securities Traded in the United States
March 3, 2009 Corporate Alert: SEC Proposes Roadmap for Considering Use of IFRS for U.S. Issuers
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
May 2004 Corporate America's Nominations Process: The Winds of Change - Part I
June 2004 Corporate America's Nominations Process: The Winds of Change Part II
July 2003 Corporate Department Alert: New NYSE/Nasdaq Rules Require Shareholder Approval of Option Plans, Amendments and Repricings
June 2004 Corporate Department Update: Additional Form 8-K Disclosure Requirements and Acceleration of Filing Deadline
January 2004 Corporate Department Update: AMEX Corporate Governance Rules
November 2003 Corporate Department Update: Approval of the NASDAQ Corporate Governance Rule Proposals by the Securities and Exchange Commission
November 2003 Corporate Department Update: Approval of the NYSE Corporate Governance Rule Proposals by the Securities and Exchange Commission
February 2003 Corporate Department Update: Audit Committee Financial Experts and Codes of Ethics
February 2003 Corporate Department Update: Disclosure of Off-Balance Sheet Arrangements in MD&A
October 2003 Corporate Department Update: Ground Rules for Shareholder Approval of Equity Compensation Plans
May 2003 Corporate Department Update: New SEC Rules Implement Stricter Audit Committee Standards
February 2003 Corporate Department Update: Professional Responsibility Rules for Attorneys
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
April 2004 Corporate Department Update: Representations and Warranties Insurance: A Valuable Tool for Financial Investors Seeking a Clean Exit
June 2003 Corporate Department Update: SEC Adopts Final Rules Requiring Annual Management Report on Internal Control Over Financial Reporting
January 23, 2003 Corporate Department Update: SEC Approves Proxy Voting Disclosure Rules for Funds and Advisers
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
March 2004 Corporate Department Update: SEC Extends Compliance Dates for Rules Requiring Annual Management Report on Internal Control Over Financial Reporting
March 2004 Corporate Department Update: SEC Rules Regarding Nominating Committee Functions and Communications Between Security Holders and the Board
June 6, 2003 Corporate Department Update: The SEC Adopts Final Rules Prohibiting Improper Influence on the Conduct of Audits
February 2003 Corporate Department Update: Use of Non-GAAP Financial Measures and New Regulation G
March 22, 2006 Corporate Memo: Amendment to New York Publication Requirements for Limited Liability Entities
August 1, 2006 Corporate Memo: SEC Adopts Changes to Disclosure Requirements Concerning Executive Compensation and Related Matters
September 2002 Creative Use of ADR Techniques Profiled in Alternatives
December 2008 Credit Default Swap Regulation Overview
September 14, 2009 Dealer's Choice
Spring 2007 Deciphering the Statutory Language of 11 U.S.C. Section 1102(b)(3): Information Disclosure Requirements Imposed Upon Creditors' Committees
November 12, 2012 Derivatives Alert: Derivatives Regulations under Dodd-Frank - Impact on End-User
September 8, 2008 Derivatives Alert: Fannie Mae and Freddie Mac Conservatorship Prompts ISDA-Sponsored Cash Settlement Auction Protocol
June 12, 2008 Derivatives Client Alert: Federal Reserve Announces Agreement for Central Credit Derivatives Counterparty
January 30, 2012 Derivatives Week: Effective Collateral Protection for Swaps
May 2004 Dienstag and Kopelman Speak to The Metropolitan Corporate Counsel About Corporate Governance
August 2005 Dienstag Quoted in Mergers & Acquisitions Report
November 8, 2004 Escrow and Insurance Protections in Public Deals
January 8, 2007 Etablissements étrangers et opérations de transfert de créances: le monopole bancaire à l' épreuve
December 6, 2011 Financial Institutions Alert: Collateral Segregation for Uncleared Swaps - Proposed Industry Provisions
February 5, 2009 Financial Institutions Alert: Hedge Fund Transparency Act
December 2008 Financial Institutions Alert: Preparing for the Unthinkable: The Collapse of Another Major Dealer and Practical Risk Mitigation Strategies To Take Now
March 13, 2009 Financial Institutions Alert: U.S. Treasury and Federal Reserve Release Further Details of TALF
October 21, 2008 Financial Institutions Derivatives Alert: Bankruptcy of a Dealer – An Overview of Derivatives Issues
November 6, 2008 Financial Institutions Derivatives Alert: Credit Default Swap Regulation Overview
November 17, 2008 Financial Institutions Derivatives Alert: Lehman Bankruptcy – Procedures for the Settlement or Assumption and Assignment of Derivative Contracts
November 21, 2008 Financial Institutions Derivatives Alert: State of New York Insurance Department Will Not Regulate Credit Default Swaps as Insurance
September 2004 French Securities Law
October 29, 2007 Funds Briefing: Autumn 2007
Spring 2005 Funds Briefing: Spring 2005
April 12, 2012 FundsTalk: April 2012
April 2013 FundsTalk: April 2013
December 6, 2012 FundsTalk: December 2012
January 18, 2012 FundsTalk: January 2012
May 4, 2012 FundsTalk: May 2012
November 5, 2010 Futures & Derivatives Law Report: Managing Credit Risk of Derivatives Counterparties - A Practical Approach
November 7, 2011 Gilden Comments to Bloomberg Businessweek on Israeli Shift Away from Nasdaq
October 24, 2011 Gilden Comments to Reuters on Israeli Companies' Move Away from NASDAQ
February 9, 2009 Gilden Quoted in National Law Journal Article on Impact of Economic Crisis on M&A and IPO Markets
November 15, 2009 Goldman Interviewed by Bergen Record
November 10, 2008 Grayer Comments on Impact of Credit Crunch on Retail Industry
April 6, 2010 Grayer Comments on Retail and Apparel M&A Market in WWD
April 23, 2010 Grayer Comments to TheStreet.com on Likelihood of Uptick in Retail Takeovers
July 15, 2011 Grayer Interviewed by The Careerist on Hiring at Kramer Levin
August 31, 2010 Grayer Quoted on Possible Surge in Retail Takeovers
September 8, 2008 Grayer, Law Quoted in NYLJ Articles on Tips for First Year Success
July 14, 2011 Hedge Fund Law Report: OTC Derivatives Clearing: How Does It Work and What Will Change?
March 16, 2009 Inside the Seller's Mind
May 5, 2010 Investment Company Institute: The Regulatory Front: New Issues Affecting Compliance
September 2004 Issues in Cross-Border Private Equity Transactions
March 29, 2004 Kopelman and Dienstag Interviewed by The Corporate-Counsel.Net
October 16, 2000 Kopelman Discusses Regulation FD in Women's Wear Daily
June 2010 Kopelman Discusses Successful CEO Transitions in The Director’s Guide to CEO Succession
April 2013 Kopelman Interviewed in The Metropolitan Corporate Counsel on Say On Pay 2013
April 14, 2010 Kopelman Participates in NACD Directorship Roundtable at NYSE
October 22, 2009 Kopelman Quoted in Article on Say on Pay
April 10, 2013 Kramer Levin Client The Related Companies' Plans to Build at Hudson Yards Featured in Crain's New York Business
September 7, 2007 Kramer Levin Noted as Counsel in Aldabra 2's Acquisition of Boise Cascade Paper and Packaging Assets
January 9, 2008 Kramer Levin Noted As Counsel to RiskMetrics Group Inc. in Planned IPO
May 22, 2007 Kramer Levin Noted as Outside Counsel to C.E. Unterberg Acquisition by Collins Stewart
October 1, 2007 Kramer Levin Representation of Aldabra Noted in The Deal
January 24, 2008 Kramer Levin Represents RiskMetrics in IPO
November 23, 1998 Kramer Levin Serves as Lead Counsel to Tyco International in AMP Deal
September 1, 2009 Kramer Levin Underwrites and Co-Publishes PIPE Report
May 2005 L'attribution gratuite d'actions aux salariés et dirigeants
July 22, 2009 Law 360 Spotlights Addition of Steven M. Goldman to Corporate Department
April 13, 2012 Law360: Key Takeaways From Southern Peru
April 12, 2012 Law360: The Achilles’ Heel of Restructuring Greece
April 18, 2012 Law360: What to Expect from CLOs in 2012
March 2004 LBO Opportunities and Challenges in Bankruptcy and Reorganization
October 22, 2007 Les nanotechnologies et l'obligation de précaution
June 23, 2009 M&A Group Client Alert: The Importance of Sandbagging Provisions from a Buyer’s Perspective: What You Know May Harm You
February 2, 2007 Manne, New Guest Columnist for New York Law Journal's Back Page on Large Law Firm Life
March 17, 2008 Marquardt Interviewed by Le Monde du Droit
September 14, 2009 Material Adverse Change Trends -- Quantitative Alternatives: Breathing Life into a Paper Tiger
April 16, 2007 Mergers & Acquisitions: It's a Seller's Market
August 2002 New Corporate Governance Proposals from the New York Stock Exchange
August 1, 2002 New Securities and Exchange Commission Guidance for Management's Discussion and Analysis of Financial Condition and Results of Operations
June 7, 2010 New York Law Journal: Pro Bono Skills are Transferable
Summer 2007 Note: Small Cap Companies and the Diamond in the Rough Theory: Dispelling the IPO Myth and Following the Regulation A and Reverse Merger Examples
Fall 2004 Outsourcing and Technology Transactions Dispatch: Fall 2004
Winter/Spring 2005 Outsourcing and Technology Transactions Dispatch: Winter/Spring 2005
March 2, 2013 Pastarnack Leads Kramer Levin Cycle for Survival Fundraising Team
July 9, 2007 Paszkiewicz Profiled in Le Figaro - Economie
Summer 1999 Paying Our Own Way: The Privatization of the Chilean Social Security System and its Lesson for American Reform
January 20, 2003 Penry-Williams Shares Insight on Financial Advisors and the USA Patriot Act
January 5, 2011 Pinilis Comments on Secondary Buyouts in Bloomberg Businessweek
January 24, 2007 Placement Tracker Releases 2006 PIPE Market League Tables: Kramer Levin Ranks In Top 5 Law Firms for Investor Counsel
October 2000 Practical Considerations for Issuers in Light of the SEC's New Selective Disclosure Rules
Spring 1996 Preference and Avoidance Claims
July 2007 Private Equity, A Technical Review: United States
December 2002 Regulation FD Update: The SEC Brings Its First Reg FD Enforcement Actions
Summer 2005 Reid Feldman Move Mentioned in Focus Europe
June 8, 2007 Richard Gilden Quoted in M&A Dealmaker's Journal on the Skyrocketing Investments of Israel's High-Tech Sector
March 3, 2009 Ritter, Kopelman Comment on American Recovery & Reinvestment Act Impact on Executive Comp
August 8, 2000 Rosenblum Comments on Profits in The American Lawyer
September 27, 2005 Rosenblum Quoted in Compliance Week
January 24, 2003 Sarbanes-Oxley Update: New Rules Impact Investment Companies and Investment Advisers
December 9, 2005 Scott Rosenblum Mentioned in Business Wire Article
April 6, 2007 Second Installment of Manne Guest Column for New York Law Journal's Back Page on Large Law Firm Life
July 2, 2008 Securities Alert: What Is Your Position? Swaps, Groups and Equity Ownership After CSX Corporation v. The Children's Investment Fund
September 29, 2010 Securities Enforcement Alert: Fifth Circuit Reinstates Insider Trading Claims Against Mark Cuban
December 1, 2005 Securities Offering Reform: Some Practical Suggestions for Issuers with a Currently Effective Shelf Registration Statement and for all Exchange Act Registrants
June 29, 2009 Seller's Delight
July 2004 Some Questions Potential Directors Should Consider Asking Before Agreeing to Join a Board
February 2008 SPACs and PIPEs: A User's Guide
September 2004 Spilko and Lipsitz Interviewed in September Issue of Metropolitan Corporate Counsel
May 8, 2008 Spilko Comments on Changes in Private Equity Industry
April 29, 2008 Spilko Comments on Increased Use of MAC Clauses in Merger Agreements
October 31, 2008 Spilko Comments on Regulation of CDS Market in The Deal
June 5, 2009 Spilko Quoted in The Deal Magazine on Impending Regulatory Changes to the Derivatives Market
December 5, 2008 Spilko, Carruzzo Comment on Lehman Motion in Debtwire
March 31, 2008 Stealth Swaps, Stale Pills and Mystery Non-Voting Shareholders: Examining a 'Loophole' On Ownership and Disclosure
June 20, 2012 Swiss Derivatives Review: Regulated Swap Entities under Dodd-Frank
March 7, 2011 Swiss Derivatives Review: The End-User Clearing Exception
March 3, 2003 Target Shareholders Try to Establish Rights After Mergers Fail
November 2004 Tax Alert: American Jobs Creation Act of 2004
March 2006 Tax Issues in Structuring Joint Ventures
April 22, 2008 Terra Firma and Shared Cooperation: How Land Frameworks Facilitate Pro-Food Security Public-Private Partnerships
October 1, 2009 Texas District Court Dismisses Insider Trading Charges Against Mark Cuban and Holds that Misappropriation Theory Requires Duty Not to Trade
September 24, 1999 The American Lawyer's "Big Suits" Column Notes Kramer Levin's Win on Behalf of Zeneca
April 30, 2010 The Deal Pipeline: Managing Management in Joint Ventures
October 27, 2010 The Deal Pipeline: Mitigating Risk in Buyout Exits
June 18, 2012 The Deal Pipeline: Reconsidering NDAs
March 26, 2012 The Deal Pipeline: Sponsoring Management Instead of Buying Companies
2001 The Early History of German-Jewish Reparations
January 29, 2007 The Fading of Silicon Wadi
May 4, 2009 The Leap-Frog Dilemma
June 7, 2005 The Limits of Administrative Authorities' Discretionary Power
June 2010 The Metropolitan Corporate Counsel: A Modern Plan for Uniform Global Regulation of Reinsurance
April 1, 2010 The Metropolitan Corporate Counsel: Enforceability of Subordination Provisions in Synthetic CDOs - A Lehman Perspective
December 2010 The Metropolitan Corporate Counsel: Helping Chinese Companies Access U.S. Capital Markets
April 1, 2011 The Metropolitan Corporate Counsel: Say-On-Pay and Corporate Governance
August 2002 The Sarbanes-Oxley Act of 2002
September 2002 The SEC Implements CEO/CFO Certification Under Sarbanes-Oxley
June 24, 2004 The Wall Street Journal Reports on Patent Obtained by Kramer Levin for The Richman/Singer Venture
October 31, 2006 Transactional Insurance Products: Effective Risk Management Tools for Contingent Liabilities
July 2006 Update: New York Adopts Superseding Amendments to Publication Requirements for Limited Liability Entities
June 9, 2006 Update: New York Adopts Superseding Amendments to Publication Requirements for Limited Liability Entities
November 2004 Venture Capital/Private Equity Investments: Important Legal Considerations
January 11, 2008 View from the Hill
July 24, 2000 Weinberger, Wagner, and Rossettie Have Lead Article in New York Law Journal Intellectual Property Supplement
December 2004 What Every Businessperson Should Know About Intellectual Property
November 9, 2005 What Every Hedge Fund Should Know in Structuring Its ISDA Derivatives Facilities
September 13, 2008 Zadourian Comments on Freddie Mac, Fannie Mae and CDSs