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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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The Value of Engaging Outside Counsel in Internal Corporate Investigations by Rizwan A. Qureshi and Jay K. Simmons – Reed Smith LLP

2024 Developments for Auditor Regulation Under U.S. Securities Laws by Jesse Jensen, Thomas Sperber, and Sarah Schmidt – Bernstein Litowitz Berger & Grossman

Focus on SEC Executive Compensation Disclosure Obligations in 2025: Security Costs and New Item 402(X) by Julia L. Petty, Michael J. Albano, Ariel Adler, and Wil Armand Steebs – Cleary Gottlieb Steen & Hamilton LLP

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Tracking the Performance of the Advisers Act Marketing Rule Since Its Inception by Aaron J. Russ and Kelley A. Howes – Morrison & Foerster LLP

Shareholder Proposals in the 2024 Proxy Season by Ryan J. Adams – Morrison & Foerster LLP

Shadow Trading Theory and Congress by Brian A. Jacobs, Thomas A. McKay, and Jessica Salley – Morville Abramowitz Grand Iasson & Anello P.C.

Closed-End Fund Governing Documents: The Defense Against Shareholder Activism by Elliot J. Gluck, Bissie K. Bonner, and Vanessa C. Richardson – Willkie Farr & Gallagher LLP

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Auld Lang Syne: Global Investigations in 2024 by Kelly Hagedorn, Isabelle De Smedt, Albert B. Stieglitz, Jr., Katherine Doty Hanniford, and Andrew Rice – Alston & Bird LLP

Addressing Questions Under the Amended Registered Fund Names Rule by Philip T. Hinkle, Corey F. Rose, Dale C. Boggs, and Austin B. McComb – Dechert LLP

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The Supreme Court’s Rulings on Shareholders’ Burdens and Defendants’ Constitutional Rights by Courtney Quirós, Timothy Fitzmaurice, Madeleine Juszynski, and Carissa Lavin – Alston & Bird LLP

Universal Proxy and Trends in Shareholder Activism: Corporations Must Still Beware and Take Care by Derek Zaba, Kai H.E. Liekefett, and Leonard Wood – Sidley Austin LLP

Accessing Private Markets: Distribution Considerations for Asset Managers by Vadim Avdeychik and Emily Picard – Clifford Chance US LLP

CFTC Enforcement Trends from FY 2024 by Elizabeth Davis and Michael McDonald – Davis Wright Tremaine LLP

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The Use of AI in the Securities Industry: U.S. Regulatory Considerations for Broker-Dealers and SEC-Registered Investment Advisers by Jennifer D. Morton – A&O Sherman

Duty Bound: A Comparison of Insider Trading Law in the United States and the European Union by Jonathan S. Sack and Christian B. Ronald – Morvillo Abramowitz Grand Iason & Anello P.C.

Fraud in the Technology Age: Strategies for Detection, Prevention, and Navigating Regulatory Inquiries by Jan M. Folena and Samantha B. Kats – Stradley Ronan Stevens & Young LLP

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Navigating the Corporate Transparency Act and the Future of Beneficial Ownership Reporting by Lisa R. Jacobs, Lori S. Smith, David J. Winkowski, and John M. Baker – Stradley Ronan Stevens & Young LLP

How to Navigate the Evolving Standards of Care for Retail Investment Advice by Lindsay B. Jackson, Daniel Kleinman, and Natalie R. Wengroff – Morgan, Lewis & Bockius LLP

 

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Some Current Articles in
Banking & Financial Services:

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AI and Tech Regulation for the Financial Sector by Lothar Determann and Michaela Nebel – Baker McKenzie

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Enforceability of Intercreditor Agreements in Bankruptcy by Christopher M. Dressel – Skadden, Arps, Slate, Meagher & Flom LLP

Bankruptcy and the Uniform Special Deposits Act: Insulating Depositor Funds From Creditors by Jason W. Harbour, Hillary Peet Patterson, and Johanna Jenkins – Hunton Andrews Kurth LLP

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Planning and Executing Effective Remediations by Jeremy Hochberg and Patricia Hartsfield-Davis – Mitchell Sandler PLLC

The Top 10 D&O Insurance Policy Exclusions Keeping Bank Executives Up at Night by Geoffrey B. Fehling and Alex D. Pappas – Hunton Andrews Kurth LLP

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Harrington V. Purdue Pharma: An Opening Salvo on Third-Party Releases by R. Stephen McNeill – Potter Anderson & Corroon LLP

The Changing Landscape of Interchange Fees and Surcharges by Matthew C. Luzadder and Alla M. Taher – Kelley Drye & Warren LLP

Oversight – Who Needs It and What is the Proper Form? by Jeffrey N. Rothleder and Kyle Arendsen – Squire Patton Boggs (US) LLP

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The Slow Burn of Artificial Intelligence Regulation in the Financial Services Industry by Michelle N. Tanney, Theresa M. Weisenberger, and Isabella Corbett Sterling – Baker & Hostetler LLP

“Naked” Section 363 Sales in Restructurings of Life Sciences Companies May Maximize Value by Ari B. Blaut and Benjamin S. Beller – Sullivan & Cromwell LLC

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FBO Accounts: Maximizing Benefits While Minimizing Risks in Fintech Partnerships by Andrew E. Bigart and Max Bonici – Venable LLP

 

 

 

 

 

 

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Please click here to see a listing of articles in reverse chronological order 2000 - 2024 for The Review of Securities & Commodities Regulaton

Please click here to see a listing of articles in reverse chronological order 2000 - 2024 for The Review of Banking & Financial Services