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The Nuclear Deal's Decertification: An Incalculable Risk, Client Advisory, October 18, 2017 by Matthew B. James

Update on XBRL Requirement for IFRS Clients, Client Advisory, September 13, 2017 by Guy Ben-Ami and Guy P. Lander

Allocation of Environmental Liabilities in M&A Transactions: New Decision Holds that Contract Language Matters, Client Advisory, August 22, 2017 by Christine A. Fazio and Julie A. Weisman

Blockchain (Distributed Ledger) Technology: An Introduction, Client Advisory, July 11, 2017 by H. Thomas Davis, Jr. and Matthew B. James

Environmental Exposure – Regulatory Compliance – Insurance Coverage (or not), Client Advisory, July 6, 2017 by Stephen M. Fields

The SBIC Program - An Oasis of Liquidity in an Arid Economic Environment, Client Advisory, June 23, 2017 by Stephen M. Fields

Recent Developments: Mid-Year Scorecard, Client Advisory, June 22, 2017 by Guy P. Lander

Foreign Private Issuer Alert: SEC Mandates XBRL for IFRS Companies and Use of Hyperlinks in Exhibit Index, Client Advisory, April 3, 2017 by Guy Ben-Ami

Update on the Conflict Minerals Rule, Client Advisory, March 31, 2017 by Guy Ben-Ami

Guidance on Cybersecurity: The HIPAA Security Rule, Client Advisory, February 14, 2017 by Kortni M. Hadley and Michael H. Bauscher

Guidance on Cybersecurity: What Broker-Dealers and Investment Advisers Need to Have in Place, Client Advisory, January 30, 2017 by Valentino Vasi and Brielle E. Kilmartin

SEC Updates Guidance to Determine “Foreign Private Issuer” Status, Client Advisory, January 24, 2017 by Bruce A. Rich and Guy Ben-Ami

New York State’s Revised Cybersecurity Legislation for Financial Institutions: What You Need to Know, Client Advisory, January 19, 2017 by Valentino Vasi

FINRA Proposes Amendments to Its Gifts, Gratuities and Non-Cash Compensation Rules, Client Advisory, November 9, 2016 by Valentino Vasi

Iranian Sanction Relief Takes a Step Forward: OFAC Clarifies Use of U.S. Dollars in Iranian Transactions, Client Advisory, October 18, 2016 by Matthew B. James

New York’s Highest Court Refuses to Extend Common Interest Doctrine to Privileged Communications Shared in M&A Context, Client Advisory, June 17, 2016 by Matthew D. Dunn

Securities Regulation: Avoiding Securities Act Registration in Share-for-Share Business Combinations between Non-U.S. Companies, Insights, February 23, 2016 by Guy P. Lander

So You Want to be a Funding Portal? – Here’s what you need to know about the SEC’s Regulation Crowdfunding., Client Advisory, November 13, 2015 by Ethan L. Silver

Regulation A: Easier Access to the U.S. Capital Markets is Here, Client Advisory, April 30, 2015 by Guy P. Lander and Bruce A. Rich

Lander Gets His SEC Interpretation: SEC Staff Clarifies Resale Rules for Privately Placed Securities of Companies After Loss of Their FPI Status, Client Advisory, February 3, 2015 by Guy P. Lander

The New York Supreme Court Bars Assertion of Fraudulent Transfer Claims by Beneficial Noteholders, Client Advisory, December 3, 2014 by James Gadsden

Workplace Management, Client Advisory, November 1, 2014 by Robert A. McTamaney and Richard G. Pierson

New FINRA Supervisory Rules, Client Advisory, October 15, 2014 by Faith Colish, Ethan L. Silver and Paulette Smith, Senior Legal Assistant

Reporting Requirements for Foreign Investments in the United States, Client Advisory, October 15, 2014 by Guy P. Lander and David I. Karabell

What Is and Is Not Covered by the M&A Broker No-Action Letter, Financial Fraud Law Report, August 1, 2014 by Ethan L. Silver

Regulation A: Easier Access to the U.S. Capital Markets is Coming, Client Advisory, February 7, 2014 by Guy P. Lander

CL&M Lawyers Instrumental in Obtaining SEC No-Action Letter to Permit Some M&A Brokers to Operate Without SEC Registration, Client Advisory, February 4, 2014 by Faith Colish and Ethan L. Silver

Fund Sales: Should the Marketer Be Registered?, Journal of Taxation and Regulation of Financial Institutions, February 1, 2014 by Ethan L. Silver and Faith Colish

Disqualified Lenders: The LightSquared Controversy Over the Acquisition of Its Debt by the Executive Chairman of Its Competitors Illustrates the Importance of Careful Drafting to Avoid Costly Pitfalls and Unintended Risks, Client Advisory, December 30, 2013 by Avinash V. Ganatra, John J. Hanley, James Gadsden, Aaron R. Cahn and Jayun Koo

Associations Antitrust Compliance, Client Advisory, December 23, 2013 by Robert A. McTamaney

FINRA’s Regulation of Its Members’ Use of Social Media, The Review of Securities & Commodities Regulation, November 6, 2013 by Ethan L. Silver and Jayun Koo

SEC Repeals Ban on General Solicitation in Private Placements, Adds A Disqualification for Bad Actors and Proposes New Reg. D Requirements, Client Advisory, July 30, 2013 by Guy P. Lander, Steven J. Glusband, Avinash V. Ganatra, Gideon Even-Or and Natalie F. Wilmore

United States Antitrust Guidelines, Client Advisory, July 1, 2013 by Robert A. McTamaney

Fiduciary Duties for Managers of Delaware Limited Liability Companies, Client Advisory, June 28, 2013 by John J. Hanley and Austin D. Keyes

Changes to the Loan Syndications and Trading Association Documentation, Client Advisory, June 24, 2013 by Ann Batchelor Pace

When a Redemption Period is Not Really a “Redemption” Period: A Red Flag Courtesy of Chesapeake Energy, Client Advisory, June 17, 2013 by David J. Fernández and Katherine A. Mirett

Covenant-Lite, Convergence and Consequences: Observations on Leveraged Loans and High-Yield Bonds, Client Advisory, June 10, 2013 by John J. Hanley, Avinash V. Ganatra and James Gadsden

Limited Liability Company Considerations for Conducting Business: A Top Five List, Client Advisory, June 4, 2013 by John J. Hanley and Jayun Koo

Hart-Scott-Rodino and the Revised Merger Guidelines, Client Advisory, May 1, 2013 by Robert A. McTamaney

Make-Whole Premiums and OID in Bankruptcy, Client Advisory, March 21, 2013 by John J. Hanley, Aaron R. Cahn, Bryan J. Hall and Robert A. McTamaney

Indenture “No-Action” Clauses Bar Independent Claims by Securityholders, The Banking Law Journal, March 1, 2013 by James Gadsden

U.S. Foreign Corrupt Practices Act & UK Bribery Act 2010, Client Advisory, March 1, 2013 by Robert A. McTamaney

Finding Financial Fraud – A Top 10 List, Client Advisory, February 15, 2013 by Robert A. McTamaney

The New York Court of Appeals Broadly Validates Contractual Choice of Law Clauses, Client Advisory, January 23, 2013 by James Gadsden and Leonardo Trivigno

FINRA Rule Goes into Effect: Member Firms Must Disclose Private Placement Documents, Client Advisory, December 14, 2012 by Faith Colish, Ethan L. Silver and Gideon Even-Or

Hedge Fund Regulation – Roundup of Recent Developments, Client Advisory, October 26, 2012 by Andris J. Vizbaras and Howard J. Barnet, Jr.

The Iran Threat Reduction Act: Prohibitions on U.S. Companies and their Foreign Subsidiaries and New SEC Disclosure Obligations, Client Advisory, October 18, 2012 by Steven J. Glusband, Gideon Even-Or and Natalie F. Wilmore

Conflict Minerals Disclosure Guidelines, Client Advisory, September 28, 2012 by Steven J. Glusband, Guy P. Lander, Bruce A. Rich and Gideon Even-Or

New SEC Rules For Resource Extraction Issuers to Disclose Payments to Governments, Client Advisory, September 28, 2012 by Steven J. Glusband, Guy P. Lander, Bruce A. Rich and Gideon Even-Or

Foreign Private Issuers: Status and Exchange Act Registration, The Review of Securities and Commodities Regulation, September 26, 2012 by Guy P. Lander

Chaos at 90 North: The Northwest Passage and an Arctic Legal Regime, Client Advisory, August 17, 2012 by Robert A. McTamaney and Patricia Matzye

“Let’s Make a Deal”: Top 10 Issues in Forming a Joint Venture, Client Advisory, July 31, 2012 by Robert A. McTamaney

Internal Investigations: A Top 10 Checklist, Client Advisory, July 31, 2012 by Robert A. McTamaney

Record Retention Policies, Client Advisory, July 31, 2012 by Robert A. McTamaney

Loan Participation Agreements are Not Swaps Subject to Regulation Under Dodd-Frank, Client Advisory, July 26, 2012 by John J. Hanley and Ann Batchelor Pace

Contractual Disclaimers of Reliance, “Big Boy Provisions,” and Their Limitations In Loan Market Transactions, Client Advisory, July 3, 2012 by John J. Hanley and Jayun Koo

Foreign Private Issuer Status, Client Advisory, June 19, 2012 by Guy P. Lander, Steven J. Glusband and Bruce A. Rich

Foreign Private Issuers Shift to XBRL Detailed Tagging, Client Advisory, June 8, 2012 by Steven J. Glusband and Gideon Even-Or

The JOBS Act and its Implications for Canadian and Other Non-U.S. Issuers, Client Advisory, May 9, 2012 by Guy P. Lander, Steven J. Glusband, Bruce A. Rich, Gideon Even-Or and Christine Y. Jung

International Standards for Corporate Conduct, New York Law Journal, April 30, 2012 by Stephen L. Kass

2011 and Other Legal Developments Affecting Canadian and Other Non-U.S. Companies, Client Advisory, March 15, 2012 by Guy P. Lander and Mary Joan Hoene

CFTC Rescinds Widely Used Hedge Fund Exemption, Client Advisory, February 17, 2012 by Andris J. Vizbaras and Justine M. Clark

SEC Enforcement and Exam Attention/Investment Adviser Use of Social Media, Client Advisory, February 9, 2012 by Faith Colish, Mary Joan Hoene, Guy P. Lander, Ethan L. Silver and Andris J. Vizbaras

The Last Phase of Implementation of XBRL Filings: Foreign Private Issuers Must Be Prepared to File, Client Advisory, December 5, 2011 by Steven J. Glusband and Gideon Even-Or

To Register or Restructure: Family Offices Affected by the Dodd-Frank Act, Client Advisory, October 11, 2011 by Mary Joan Hoene, Jerome J. Caulfield and Theodore R. Wagner

FINRA Guidance on Social Media Used for Business Purposes, Client Advisory, September 22, 2011 by Ethan L. Silver and Faith Colish

The UK Bribery Act 2010 and the US FCPA, Concepts and Contrasts, The Barrister, June 7, 2011 by Robert A. McTamaney

Temporary XBRL Relief for IFRS Financial Statements of Foreign Private Issuers, Client Advisory, June 6, 2011 by Steven J. Glusband, Guy P. Lander and Peter Flägel

Attention New York In-House Counsel Admitted in Other States: File by July 19 to Protect Your Right to Practice Law in New York!, Client Advisory, June 2, 2011 by Clifford P. Case III and Karen E. Meara

The Assured Guaranty Case & New York’s Martin Act: Pre-emption Delayed is Justice Denied, Wall Street Lawyer, May 2011 by Robert A. McTamaney

New York’s Martin Act: Preemption Delayed Is Justice Denied, Legal Backgrounder, March 25, 2011 by Robert A. McTamaney

New U.S. Tax Reporting Requirements Affect Foreign Issuers, Client Advisory, March 7, 2011 by Howard J. Barnet, Jr., Guy P. Lander and Dan Pittman

SEC Adopts Rules on Say-On-Pay and Say-On-Golden Parachutes, Client Advisory, March 3, 2011 by Guy P. Lander and Steven J. Glusband

SEC Proposed Rules for Disclosure Concerning Conflict Minerals Originating in the Democratic Republic of the Congo and Adjoining Countries, Client Advisory, March 3, 2011 by Guy P. Lander and Steven J. Glusband

Guide to the U.S. Capital Markets for U.S. and Foreign Companies and Their Advisers, January 1, 2011 by Guy P. Lander

XBRL Interactive Data for Financial Reporting, Client Advisory, October 6, 2010 by Steven J. Glusband, Guy P. Lander and Sharon Rosen

Form ADV Part 2, Client Advisory, September 27, 2010 by Faith Colish, Guy P. Lander, Della P. Richardson, Ethan L. Silver and Andris J. Vizbaras

Regulation of Private Fund Managers and other Money Managers under the Financial Reform Bill, Client Advisory, July 30, 2010 by Guy P. Lander and Della P. Richardson

Changes to Private Placement Regulation D under the Dodd-Frank Wall Street Reform and Consumer Protection Act, Client Advisory, July 22, 2010 by Guy P. Lander and Peter Flägel

Corporate Governance Provisions of the Financial Reform Bill, Client Advisory, July 19, 2010 by Guy P. Lander and Bryan J. Hall

Climate Change Disclosures Organized by Disclosure Requirement, April 26, 2010 by Guy P. Lander and Bryan J. Hall

Senate Bill to Regulate OTC Derivatives Advances, Client Advisory, April 26, 2010 by Andris J. Vizbaras

Modification of NASDAQ Press Release Requirements for Listed Companies, Client Advisory, April 19, 2010 by Steven J. Glusband, Guy P. Lander and Sharon Rosen

SEC Proposes to Modernize Company Repurchases of Common Stock, Client Advisory, March 4, 2010 by Steven J. Glusband and G. Christina Gray-Trefry

SEC Adopts New Rules to Expand Proxy Disclosure for Compensation and Corporate Governance, Client Advisory, January 4, 2010 by Guy P. Lander

The Wall Street Reform and Consumer Protection Act, Client Advisory, December 29, 2009 by Guy P. Lander

I.R.S. Suggests Foreign Bank Account Reporting Requirements May Apply to Interests in Offshore Hedge Funds, Client Advisory, June 25, 2009 by Howard J. Barnet, Jr., Andris J. Vizbaras, Dan Pittman and Jinsoo J. Ro

SEC Votes to Propose Rules to Permit Shareholders to Nominate Directors in a Proxy Statement, Client Advisory, June 8, 2009 by Steven J. Glusband, Guy P. Lander, G. Christina Gray-Trefry and Christopher Young

Compliance with U.S. Antibribery Laws, Client Advisory, June 1, 2009 by Guy P. Lander, Gary D. Sesser and Jinsoo J. Ro

Administration Proposes Regulation of Over-The-Counter Derivatives, Client Advisory, May 18, 2009 by Morris Simkin, Guy P. Lander, Robert A. McTamaney and Andris J. Vizbaras

Alert to Foreign Issuers: Upcoming Date to Measure Your SEC Reporting Status as a Foreign Private Issuer, Client Advisory, May 12, 2009 by Guy P. Lander, Steven J. Glusband and Bruce A. Rich

SEC Proposes Five Short Sale Price Rules, Client Advisory, April 30, 2009 by Morris Simkin, Steven J. Glusband and Guy P. Lander

SEC Press Release on Proposed Short Sale Price Test, Client Advisory, April 9, 2009 by Morris Simkin, Guy P. Lander and Steven J. Glusband

Voluntary Disclosure of Offshore Accounts, Client Advisory, March 27, 2009 by Howard J. Barnet, Jr. and Robert A. McTamaney

Managing Legal Fees in the Recession: A Top Ten List, Client Advisory, March 6, 2009 by Robert A. McTamaney and Richard G. Pierson

The Hedge Fund Transparency Act of 2009, Client Advisory, February 9, 2009 by Guy P. Lander and Steven J. Glusband

Effects of Loss of WKSI Status on Automatic Shelf Registration Statements, Client Advisory, February 4, 2009 by Peter Flägel, Steven J. Glusband, Vincent Monte-Sano and Sharon Rosen

Recent Changes for Foreign Private Issuer Filings on 20-F and 40-F, Client Advisory, February 2, 2009 by Guy P. Lander

SEC Amends Oil and Gas Reporting Requirements, Client Advisory, February 2, 2009 by Guy P. Lander

SEC Proposes Amendments to Rule 15a-6 for Non-U.S. Broker-Dealers, Client Advisory, February 2, 2009 by Guy P. Lander and Morris Simkin

Madoff Securities Task Force Update: Claiming Tax Benefits for Losses, Client Advisory, January 9, 2009 by Howard J. Barnet, Jr.

Madoff Securities Task Force Update: March 4, 2009 Deadline, Client Advisory, January 8, 2009 by Steven J. Glusband, Howard J. Barnet, Jr., Faith Colish, Michael I. Frankel, James Gadsden, Guy P. Lander, Patricia Matzye, Gary D. Sesser, Michael Shapiro, Morris Simkin, Andris J. Vizbaras and Robert J.A. Zito

U.S. Foreign Investment and National Security Act of 2007, Client Advisory, January 2009 by Robert A. McTamaney

Madoff Securities Task Force, Client Advisory, December 30, 2008 by Steven J. Glusband, Howard J. Barnet, Jr., Faith Colish, James Gadsden, Guy P. Lander, Patricia Matzye, Gary D. Sesser, Michael Shapiro, Andris J. Vizbaras and Robert J.A. Zito

U.S. Tax and Securities Law Considerations in Canadian Income Trust Conversions, Client Advisory, November 24, 2008 by Howard J. Barnet, Jr., Guy P. Lander, Dan Pittman, John Whelan and Christopher Young

Beneficial Ownership Reporting by Non-U.S. Institutions, Client Advisory, November 5, 2008 by Guy P. Lander and Peter Flägel

Tyco: When Does a Corporate Probe Become State Action?, New York Law Journal, November 3, 2008 by Michael Shapiro

SEC Revises Cross-Border Business Combination Rules, Insights, November 2008 by Guy P. Lander

Lehman to Inform Counterparties of its Intentions by November 7, 2008, Client Advisory, October 31, 2008 by John J. Hanley and Karl Schaffer

SEC Revises Cross-Border Business Combination Rules, Client Advisory, October 14, 2008 by Guy P. Lander, Andris J. Vizbaras, G. Christina Gray-Trefry and Bhavna Agnihotri

SEC Amends Reporting and Disclosure Requirements for Foreign Private Issuers, Client Advisory, October 10, 2008 by Steven J. Glusband, Guy P. Lander, Andris J. Vizbaras and Sharon Rosen

SEC Emergency Orders Re Short Sales, Client Advisory, September 30, 2008 by Paul DeCaprio and Guy P. Lander

Exemption from Registration for Foreign Private Issuers: SEC Amends Rule 12g3-2(b), Client Advisory, September 16, 2008 by Andris J. Vizbaras, Guy P. Lander and G. Christina Gray-Trefry

U.S. Department of Justice Analysis of Single-Firm Conduct, Client Advisory, September 9, 2008 by Robert A. McTamaney and Gary D. Sesser

Modernization of SEC Oil and Gas Reporting Requirements, Client Advisory, July 3, 2008 by Guy P. Lander

Foreign Issuer Reporting Enhancements, Client Advisory, June 5, 2008 by Guy P. Lander and Alice Kenniff

SEC Proposes to Revise Cross-Border Business Combination Rules, Client Advisory, May 22, 2008 by Guy P. Lander and Alice Kenniff

SEC Proposes to Revise Cross-Border Business Combination Rules (Short), Client Advisory, May 22, 2008 by Guy P. Lander and Alice Kenniff

True Sale Participation Agreements and the Risk of Counterparty Insolvency, Client Advisory, March 17, 2008 by John J. Hanley and Karl Schaffer

Revisions to the Eligibility Requirements for Primary Securities Offerings on Forms S-3 and F-3, Client Advisory, February 7, 2008 by Guy P. Lander, Stephen V. Burger and Evangelos Kramvis

SEC Amends Rules 144 and 145 under the Securities Act of 1933, Client Advisory, February 7, 2008 by Guy P. Lander, Stephen V. Burger and Aaron Salsberg

SEC Eliminates U.S. GAAP Reconciliation Requirement for Foreign Private Issuers that Adopt International Financial Reporting Standards, Client Advisory, February 7, 2008 by Guy P. Lander and G. Christina Gray-Trefry

Smaller Reporting Company Regulatory Relief and Simplification, Client Advisory, February 7, 2008 by Guy P. Lander, Stephen V. Burger and Catherine Janasie

Investment Advisers Act Compliance, November 2007 by Guy P. Lander

Dealmakers Face Regulatory Hurdles for Cross-Border Deals, Investment Dealers' Digest, September 24, 2007 by Robert A. McTamaney

Record Retention Policies: Guidelines for Directors, Directors Monthly, May 2007 by Robert A. McTamaney and Richard G. Pierson

U.S. Tax Consequences of Loan-Related Activities of Offshore Funds, Client Advisory, January 29, 2007 by John J. Hanley

Audit Firm Inspections: The PCAOB's first inspections: What did they find?, Accounting Today, May 16, 2006 by Raphael S. Grunfeld

Antitrust and Intellectual Property, Client Advisory, April 1, 2006 by Robert A. McTamaney

Antitrust and Research Trade Associations, Client Advisory, April 2006 by Robert A. McTamaney

SEC Reforms the Public Offering Process, Client Advisory, August 15, 2005 by Stephen V. Burger, Steven J. Glusband and Robert A. McTamaney

Independent Majority on the Board of Directors of Foreign Private Issuers, Client Advisory, April 2005

Pitfalls of Reverse Mergers Into Public Shell Companies, Client Advisory, April 2005

Broker-Dealer Fee-Based Compensation; New Rule Requires Broker-Dealers with Investment Discretion to Register as Investment Advisers, Client Advisory, March 2005

Current Trends in Venture Capital, Client Advisory, March 2005 by Alan J. Bernstein and G. Christina Gray-Trefry

Independent Majority on the Board of Directors of Foreign Private Issuers, Client Advisory, March 2005

Private Companies and Sarbanes-Oxley, January 1, 2005 by Robert A. McTamaney

How to Survive a PCAOB Inspection, Accounting Today, September 20, 2004 by Raphael S. Grunfeld

Private Securities Offerings in the United States by Offshore Investment Funds, September 1, 2004 by Robert A. McTamaney

Getting Ready for the PCAOB: How Inspections Will Differ from Peer Review, The Trusted Professional, July 2004 by Raphael S. Grunfeld

Additional Form 8-K Disclosure Requirements and Acceleration of Filing Dates, Client Advisory, May 21, 2004 by Steven J. Glusband, John Whelan, Stephen V. Burger and Sharon Rosen

Internal Controls Over Financial Reporting, Client Advisory, April 2004 by Raphael S. Grunfeld and Robert A. McTamaney

A Practical Guide to the Sarbanes-Oxley Act of 2002, Client Advisory, July 1, 2003 by Raphael S. Grunfeld, Robert A. McTamaney and Steven J. Glusband

What you Need to Know About the Certification Requirements of The Sarbanes Oxley Act of 2002, Client Advisory, June 2003 by Raphael S. Grunfeld, Steven J. Glusband and Robert A. McTamaney

The Patriot Act's Anti-Money Laundering Rules: What Private Funds and Investment Advisers Need to Know, Client Advisory, May 14, 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 by Raphael S. Grunfeld, Steven J. Glusband and Robert A. McTamaney

New York's Martin Act: Expanding Enforcement in an Era of Federal Securities Regulation, Legal Backgrounder, February 28, 2003 by Robert A. McTamaney

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 by Raphael S. Grunfeld, Steven J. Glusband and Robert A. McTamaney

"Going Private" After The Sarbanes-Oxley Act of 2002, Client Advisory, January 2003 by Alan J. Bernstein

Carter Ledyard's Letter to the SEC Regarding the Proposed Rules, December 18, 2002

SEC Proposed Professional Standards of Conduct for Attorneys Under the Sarbanes-Oxley Act, Client Advisory, December 4, 2002 by Raphael S. Grunfeld and Robert A. McTamaney

The Application of Sarbanes-Oxley to Non-U.S. Companies, Client Advisory, November 2002 by Steven J. Glusband, Raphael S. Grunfeld and Robert A. McTamaney

Acceleration of SEC Periodic Reporting Deadlines and Disclosure of Website Access to Reports, Client Advisory, October 24, 2002 by Stephen V. Burger and Peter Flägel

Gold Rush-Buying Pieces of Distressed Companies, The Daily Deal, October 23, 2002 by Alan J. Bernstein and Mark Finkel

The Sarbanes-Oxley Act of 2002: Will It Prevent Future "Enrons?", Legal Backgrounder, August 9, 2002 by Robert A. McTamaney

State "Indirect Purchaser" Suits Benefit Lawyers, Not Consumers, Legal Backgrounder, July 12, 2002 by Robert A. McTamaney

The Sarbanes-Oxley Act of 2002, Client Advisory, July 2002 by Raphael S. Grunfeld and Robert A. McTamaney

The Euro -- Legal and Commercial Issues, Client Advisory, May 2002 by Robert A. McTamaney

€ The Euro Audit Checklist, Client Advisory, January 2001 by Robert A. McTamaney

Corporate lawyer makes Israeli connection, The Daily Deal, September 15, 2000

Foreign Issuer Private Placements and Rule 144A Offerings in the United States, July 27, 2000 by Robert A. McTamaney


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