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June 9, 2020
Client Alert: SEC Charges Private Equity Adviser for Failure to Implement and Enforce MNPI and Restricted List Policies and Procedures
June 8, 2020
Office Reopening Guidelines for the Tri-State Region During the COVID-19 Pandemic
June 5, 2020
Considerations for Funds Participating in TALF 2020
June 5, 2020
Senate Confirms Special Inspector General for Pandemic Recovery … Another CARES Act Enforcement Shoe Drops
June 4, 2020
Reminder: Registered Investment Advisers with Retail Investors Must File Form CRS by June 30, 2020
June 2, 2020
Distressed Debt Trading: Navigating the Road Ahead
June 2, 2020
OFAC Sanctions Non-U.S. Companies and Tankers Transporting Venezuelan Oil
June 2, 2020
A Proactive Lender is a Better Protected Lender
May 29, 2020
CFTC Approves Deferral of Phase 5 Implementation Deadline for Regulatory Initial Margin Requirements as Result of COVID-19 Pandemic
May 29, 2020
Sanctions Update: Iran and Hong Kong
May 28, 2020
Simply Speaking (May 2020) — Insurance Assignments
May 28, 2020
Carveout Transactions – Key Considerations and Pitfalls
May 27, 2020
SEC Amends Financial Disclosures Related to Acquisitions of Businesses
May 26, 2020
TAX AND OTHER CONSIDERATIONS FOR INVESTMENT FUNDS SEEKING TO UTILIZE THE TALF
May 26, 2020
Partner Robert Gayda and associate Andrew Matott co-authored an article in Westlaw titled, “Cramdown confusion: The not-so-plain requirement of 11 U.S.C.A. § 1129(a)(10) .”
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