Robert A. McTamaney
Publications
Publications Available on this website
- The UK Bribery Act 2010 and the US FCPA, Concepts and Contrasts, The Barrister, June 7, 2011
- U.S. Foreign Corrupt Practices Act & UK Bribery Act 2010, Client Advisory, May 2011
- The Assured Guaranty Case & New York’s Martin Act: Pre-emption Delayed is Justice Denied, Wall Street Lawyer, May 2011
- New York’s Martin Act: Preemption Delayed Is Justice Denied, Legal Backgrounder, March 25, 2011
- Administration Proposes Regulation of Over-The-Counter Derivatives, Client Advisory, May 18, 2009
- Voluntary Disclosure of Offshore Accounts, Client Advisory, March 27, 2009
- Managing Legal Fees in the Recession: A Top Ten List, Client Advisory, March 6, 2009
- United States Antitrust Guidelines, Client Advisory, January 2009
- Antitrust and the Horizontal Merger Guidelines of the U.S. Department of Justice and the Federal Trade Commission, Client Advisory, January 2009
- U.S. Foreign Investment and National Security Act of 2007, Client Advisory, January 2009
- Record Retention Policies, Client Advisory, January 2009
- U.S. Department of Justice Analysis of Single-Firm Conduct, Client Advisory, September 9, 2008
- Dealmakers Face Regulatory Hurdles for Cross-Border Deals, Investment Dealers' Digest, September 24, 2007
- Record Retention Policies: Guidelines for Directors, Directors Monthly, May 2007
- Internal Investigations: A Top 10 Checklist, Client Advisory, October 17, 2006
- Antitrust and Research Trade Associations, Client Advisory, April 2006
- Antitrust and Intellectual Property, Client Advisory, April 1, 2006
- SEC Reforms the Public Offering Process, Client Advisory, August 15, 2005
- Private Companies and Sarbanes-Oxley, January 1, 2005
- Private Securities Offerings in the United States by Offshore Investment Funds, September 1, 2004
- Supreme Court Validates Use of Broad U.S. Discovery in Aid of Foreign Proceedings, Client Advisory, June 22, 2004
- Internal Controls Over Financial Reporting, Client Advisory, April 2004
- A Practical Guide to the Sarbanes-Oxley Act of 2002, Client Advisory, July 1, 2003
- What you Need to Know About the Certification Requirements of The Sarbanes Oxley Act of 2002, Client Advisory, June 2003
- Audit Committee and Financial Reporting Requirements for U.S. and Non-U.S. Companies under the Sarbanes-Oxley Act, Client Advisory, May 1, 2003
- New York's Martin Act: Expanding Enforcement in an Era of Federal Securities Regulation, Legal Backgrounder, February 28, 2003
- SEC Final Rule for Attorney "Up the Ladder" Reporting and Proposed Rule for Attorney "Noisy Withdrawal" Under the Sarbanes-Oxley Act, Client Advisory, January 31, 2003
- SEC Proposed Professional Standards of Conduct for Attorneys Under the Sarbanes-Oxley Act, Client Advisory, December 4, 2002
- The Application of Sarbanes-Oxley to Non-U.S. Companies, Client Advisory, November 2002
- The Sarbanes-Oxley Act of 2002: Will It Prevent Future "Enrons?", Legal Backgrounder, August 9, 2002
- State "Indirect Purchaser" Suits Benefit Lawyers, Not Consumers, Legal Backgrounder, July 12, 2002
- The Sarbanes-Oxley Act of 2002, Client Advisory, July 2002
- The Euro -- Legal and Commercial Issues, Client Advisory, May 2002
- € The Euro Audit Checklist, Client Advisory, January 2001
- Foreign Issuer Private Placements and Rule 144A Offerings in the United States, July 27, 2000
- U.S. Discovery in Foreign Litigation, Client Advisory, January 2000
Practice Areas
M&A Transactions
Education
- B.S., 1967 Fordham University
- J.D., 1970 Fordham University School of Law (Class Standing: 1; Editor-in-Chief, Volume 38, Fordham Law Review; American Jurisprudence Awards for highest class standing in: Jurisprudence, Torts, Evidence, Federal Practice, Agency, Estates & Trusts, Administrative Law, Criminal Law, Constitutional Law, Commercial Transactions, Remedies, Admiralty, and Labor Law; The Chapin Prize (highest class standing); The Francis Thaddeus Wolff Prize; The Fordham Prize (highest class standing in each of first, second and third years).