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Mayer Brown
 
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Tel: +1 312 7820600
Fax: +1 312 7017711
71 S. Wacker Dr.
Chicago
IL 60606
United States
By Brian D. Hirshberg
On January 10, 2019, the staff of NYSE Regulation released its annual memorandum detailing important rules and policies applicable to listed companies.
By Mayer Brown
Mayer Brown has been working on subscription credit facilities and other fund financings for two decades. During this time,
By Julia T. Spinelli
On December 21, 2018, the Securities and Exchange Commission (the "SEC") appointed Martha Legg Miller as the Advocate for Small Business Capital Formation.
By Barbara Goodstein, Jennifer Kratochvil
Most financing agreements have covenants limiting the ability of a borrower to merge, consolidate, create subsidiaries, declare and pay dividends or other "restricted payments," or transfer assets.
By Julie Gillespie, Melissa Kilcoyne, Lindsay O'Neil, Jan Stewart
As the third week of the US government shutdown comes to a close with no apparent end in sight, we note that the effects are being felt even in the asset-backed securities market.
By Christopher Mikson
Perspectives spoke with Litigation & Dispute Resolution partner Chris Mikson (DC), whose training as a physician, registered patent attorney and trial lawyer has opened doors to a colorful and fulfilling career.
By Melanie Brody, James Williams
Possibly hinting toward a revival of fair lending enforcement following a recent lull.
By Anna T. Pinedo
Before the SEC shutdown, the Office of the Investor Advocate published the annual report on its activities during 2018.
By Anna T. Pinedo
The recently published MoneyTree Report provides an overview of venture capital investment trends.
By Lawrence Hamilton, Brad Peterson, Sanjiv J. Tata
The use of artificial intelligence ("AI"), which may be defined as the development of computer systems able to perform tasks normally associated with human intelligence ...
By Bradley Berman, Michael D. Russo
Rule 2210 governs three categories of "communications" by FINRA member firms: institutional communications, retail communications and correspondence.
By Brian D. Hirshberg, J. Paul Forrester, Anna T. Pinedo
On November 30, 2018, the SEC adopted a new rule 1 establishing a non-exclusive research report safe harbor for unaffiliated brokers or dealers that publish or distribute research reports...
By Laura Richman, David Bakst, John Berkery, Edward Best, Jennifer Carlson, Robert Gray, Jr., Lawrence Hamilton, William Heller IV, Michael Hermsen
The US Securities and Exchange Commission (SEC) recently gave a strong reminder of the importance of providing equal ...
By Kenneth Klein, James Barry, Michael Lebovitz, Jared Goldberger, Isaac L. Maron, JoonBeom Pae
On December 20, 2018, the US Department of Treasury and the IRS released proposed regulations under Section 864(c)(8) of the Code on the treatment of a foreign partner's transfer of an interest in a partnership...
By Martín Estrada
In December 2018, Bill 3718 (the "Bill") was introduced in the Senate and referred to Committee. The Bill, or the "Ban Conflicted Trading Act," ...
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