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Mayer Brown
 
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By Ian Coles, Rachel Speight
Welcome to the latest edition of Mayer Brown's Global Mining Update which focuses on some of the key legal issues and developments that have been affecting the mining sector over recent months.
By J. Paul Forrester
With apologies to the Temptations, the title to their classic song seems to apply to the current state of leveraged lending and other supervisory guidance issued by various regulatory agencies...
By Elizabeth Espín Stern, Paul W. Virtue, Grace Shie, Paul Justas Sarauskas, Lisa J. Pino
At the end of October 2018, the Department of Homeland Security ("DHS") published an updated regulatory agenda that aligns with President Trump's "Buy American and Hire American" executive order.
By Andrew Rosenman, Ruth Zadikany, Corwin J. Carr, Richard Nowak, Daniel Queen
On October 11, 2018, the Occupational Safety and Health Administration ("OSHA") issued a guidance memorandum to its regional administrators and state designees clarifying the agency's position on workplace safety incentive programs and post-incident drug testing.
By Joseph A. Castelluccio, William Kucera
In recent years, transactional liability insurance—often in the form of representations and warranties insurance—has rapidly evolved from a niche product into a common element in mergers and acquisitions practice.
By Bradley Berman, Marla Matusic, Anna T. Pinedo
On October 30, 2018, the Financial Industry Regulatory Authority, Inc. ("FINRA") filed a proposed rule change to amend FINRA Rule 5110 (Corporate Financing Rule – Underwriting Terms and Arrangements) (the "Rule").
By Curtis Doty, J. Paul Forrester, Donald Waack, Matthew Bisanz
A perennial challenge in the prudential regulation of banks' derivatives activities has been the development of uniform, administrable, yet adequately risk-sensitive standardized methods for calculating derivatives exposures for use in prudential ratios.
By J. Paul Forrester
Formal proposals are due by February 14, 2019 and are required to be firm and valid for 180 days after that date. NYSERDA expects to announce the related awards in April 2019.
By Howard Waltzman, Mickey Leibner, Angela Giancarlo, Timothy Keeler, Duane Layton, Anthony “Toby” Moffett, Warren Payne
The results of the US midterm elections will have implications for how business gets done in Washington during the next two years.
By David Burton, Jeffrey Davis
We were pleased to participate in Power Finance & Risk's (PFR) Tax Equity Roundtable. We were joined in the roundtable discussion by Rich Dovere of C2 Energy Capital, Marshal Salant of Citi,
By Anna T. Pinedo
At the Practising Law Institute's Annual Institute on Securities Regulation, a number of updates were provided by the Staff regarding ongoing initiatives within the Office of Small Business.
By Timothy Keeler, Mark Uhrynuk, Brian F. McKenna, Thomas A. De Gregoris, Mickey Leibner
On August 13, 2018, President Trump signed into law the Foreign Investment Risk Review Modernization Act, or FIRRMA, legislation designed to enhance US national security and protect US technological achievements and superiority.
By David Beam, Jerome Roche, J. Paul Forrester, Matthew Bisanz
On September 26, 2018, a US federal court found that virtual currency constitutes a class of items that are commodities under the Commodity Exchange Act
By Anna T. Pinedo
The recently published PwC and CB Insights' MoneyTree Report provides insights on financing trends through the third quarter of 2018.
By J. Paul Forrester
Last Friday, November 2, 2018, the State Corporation Commission of the Commonwealth of Virginia issued a final order regarding the application by Virginia Electric and Power Company ...
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