| 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 |