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The Review of Securities & Commodities Regulation and
The Review of Banking & Financial Services.

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To learn more about our publications click on the "About the Reviews" link above.
Some recent articles for each review are listed below. To read first page of an
article click on the title.


CLE Credit


 
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Some Current Articles in
Securities & Commodities Regulation:

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Law and Practice under Rule 102(e) by Gregory G. Ballard, Kevin A. Burke, and Neil D. Corcoran – Sidley Austin LLP

The DOJ’s New Position on Corporate Cooperation by Matthew E. Fishbein – Debevoise & Plimpton LLP

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ERISA Litigation Involving Retirement Plan Investments by Jamie Fleckner – Goodwin Procter LLP

Latin America:  Lessons on Shareholder Activism from a U.S. Perspective by Sergio J. Galvis – Sullivan & Cromwell LLP

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Current Trends in Hedge Funds by Kelli L. Moll, Gwyneth Rees, Neil Koren, and Peter D. Astleford – Akin Gump Strauss Hauer & Feld, LLP; Maples and Calder; Shartsis Friese LLP; and Dechert LLP

SEC Examinations of Private Fund Advisers by Marc E. Elovitz – Schulte Roth & Zabel LLP

Damages and Predominance in Securities Class Actions after Comcast by Matthew L. Mustokoff and Stacey M. Kaplan – Kessler Topaz Meltzer & Check, LLP

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Litigating With – And At – The SEC by Douglas Davison, Matthew Martens, Nicole Rabner, John Valentine, and Natalie Rastin – Wilmer Cutler Pickering Hale and Dorr, LLP

State Securities Regulatory Update by F. Daniel Bell III, Andrea L. Seidt, and Pamela P. Epting – K&L Gates, Ohio Securities Commission, and Florida Office of Financial Regulation, respectively

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Managing Corporate Crises:  A Brief Case Study by Ralph C. Ferrara and Rachel O. Wolkinson – Proskauer Rose LLP

Ethical Considerations for Defense Lawyers in SEC Proceedings by David B. Anders – Wachtell, Lipton, Rosen & Katz

Understanding the Investment Adviser Custody Rule:  Part II – Safekeeping Requirements by Robert E. Plaze – Stroock & Stroock & Lavan LLP

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U.S. Sanctions on Russia by Stephan E. Becker – Pillsbury Winthrop Shaw Pittman LLP

The Perils of Non-Accounting Services Provided by Accounting Firms by A. Neil Hartzell – LeClairRyan

Understanding the Investment Adviser Custody Rule:  Part I – Determining Custody by Robert E. Plaze – Stroock & Stroock & Lavan LLP

Cross-Border Requirements for Derivatives in the U.S. and EU by Cyrus Amir-Mokri, Mark D. Young, Maureen A. Donley, and Patrick Brandt – Skadden, Arps, Slate, Meagher & Flom

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Deferred Prosecution and Non-Prosecution Agreements in the United States, England, and Wales by Richard C. Smith, Sam Eastwood, Kelly Thorman, and Kate Hunter – Norton Rose Fulbright

NFA Inspections – Practical Guidance for CPOs and CTAs by Deborah A. Monson and Jeremy A. Liabo – Ropes & Gray LLP

Lower Court Decisions in the Wake of Halliburton II by Maeve L. O’Connor and Elliot Greenfield – Debevoise & Plimpton LLP

 

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Some Current Articles in
Banking & Financial Services:

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CLOs and the Volcker Rule by David S. Krischer and Heath P. Tarbert – Allen & Overy LLP

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The CFPB’s Proposed Amendments to its Mortgage Servicing Rules by Scott D. Samlin and Nanci L. Weissgold – Alston & Bird

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The CFPB:  Recent Developments in Automobile Finance, Student Loans, and Debt Collection by Julius L. Loeser – Winston & Strawn LLP

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The ABI Commission Report Recommendations for the Reform of Chapter 11 by Damian S. Schaible and Kevin J. Coco – Davis Polk & Wardell LLP

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Preparing for the Squall:  The Coming Margin Requirements for OTC Derivatives by James M. Cain and Meltem F. Kodaman – Sutherland Asbill & Brennan LLP

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The CFPB’s Proposed HMDA Rule:  “Getting it Right” in Light of Major Changes to HMDA by Warren W. Traiger and Purvi Sanjay Patel

Surviving your Next Securitization:  Identifying and Minimizing Unknown Risk by Robert A Jaffe and Nicole P. Moriarty – Kutak Rock LLP

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Third-Party Releases in Bankruptcy by Kimberly A. Posin – Latham & Watkins LLP

Risk Assessment in India:  Challenges and Best Practices by Brian L. Whisler and John P. Cunningham – Baker & McKenzie LLP

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Till:  Ten Years Later by Judith Elkin – Haynes and Boone

Vendor Management for Banks and Nonbanks by John ReVeal – Bryan Cave LLP

 

 

 

 

 

 


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