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June 2, 2015
SEC Proposes to Increase Reporting Obligations of Registered Investment Companies
May 28, 2015
Extension of Form BE-10 Deadline for New Filers
May 27, 2015
FBAR Filing Due June 30
May 13, 2015
Private Fund Structures and CLO Risk Retention
May 8, 2015
2014 Benchmark Survey of U.S. Direct Investment Abroad (Form BE-10)
May 6, 2015
SEC Clarifies Definition of Voting Equity Securities for Purposes of the Bad Actor Rule
April 29, 2015
Business Transactions Group 2014 Year in Review
April 22, 2015
U.S. Department of Labor’s Proposed Regulation on the Definition of “Fiduciary”
April 20, 2015
Partner John Ryan authored a practice note in the Lexis Practice Advisor for Labor & Employment titled, “Applying ERISA’s Plan Asset Regulation.”
Spring 2015
Partner Bruce Paulsen authored an article in the Spring 2015 edition of The American Bar Association’s Litigation Journal titled, “What the General Litigator Needs to Know about Handling a Maritime Case.”
February 2015
Partner Scott Sambur co-authored an article in the February 2015 edition of Trusts & Estates Magazine titled, “Maximizing Tax Benefits With Real Estate Partnerships.”
April 1, 2015
The Cayman Islands Tax Information Authority Launches the Cayman FATCA Portal
2014 Edition
Global Bank and Institutional Finance & Restructuring Group 2014 Highlights
March 2015
Bruce Paulsen and Jeffrey Dine’s article BG Group v. Argentina: US Supreme Court upholds arbitrators’ authority, discussing the Supreme Court’s first decision considering investment treaty arbitration, was published in the March 2015 edition of the International Bar Association’s Arbitration News.
March 2015
March 2015 Private Funds Bullet Report
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