Searching Content indexed under Debt Capital Markets by Proskauer Rose LLP ordered by Published Date Descending.
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CFTC Commissioner: Code Developers May Be Accountable For Smart Contracts
Recently at a conference in Dubai, Brian Quintenz, who is a Commodity Futures Trading Commission Commissioner, expressed his personal opinion on the conceptual challenges in applying the CFTC's regulatory oversight.
United States
9 Nov 2018
Proskauer's 2018 Global High-Yield Bond Study
Proskauer's Leveraged Finance Group has released its 2018 Global High-Yield Bond Study, which provides dealmakers, issuers and investors with an in-depth look at deal terms and trends in the high-yield bond market.
United States
23 May 2018
Proskauer's Second Annual Survey On Trends In Private Credit Markets
Proskauer released results from The Private Credit Group's market survey for 2018. The comprehensive survey features the predictions of top lending institutions, which complement the findings...
United States
19 Apr 2018
SEC Expands Confidential Submission Programme
The Securities and Exchange Commission (SEC) will allow all issuers to confidentially submit draft registration statements with the SEC in connection with their initial public offerings (IPOs).
United States
22 Sep 2017
Fed Adopts Final Rule Regarding Contract Termination Provisions For Repos, Stock Loans And Swaps With Systemically Important Banks
On September 1, 2017 the Federal Reserve voted to adopt a final rule requiring U.S. global systemically important banking institutions ("GSIBs") and the U.S. operations of foreign GSIBs to amend "QFC"...
United States
12 Sep 2017
Regulation Round Up (June 2017)
The ESMA published its final report on guidelines on product governance requirements under the MiFID II Directive (2004/65/EU). The guidelines (set out in Annex IV) to the final report aim to promote greater convergence in the implementation and application of the MiFID II requirements on product governance.
6 Jul 2017
Regulation Round Up
The FCA published its Policy Statement on the FCA's disclosure rules following application of PRIIPs Regulation (PS17/6).
European Union
6 Jun 2017
Proskauer Releases 2016 Global High-Yield Bond Study
April 20, 2016 (New York, London) – International law firm Proskauer today announced the release of its 2016 Global High-Yield Bond Study...
United States
25 Apr 2016
2015 IPO Study
Proskauer's Global Capital Markets Group has just released its second annual IPO Study, the group's analysis of U.S.-listed initial public offerings in 2014 and identification of year-over-year comparisons and trends.
United States
24 Mar 2015
Proskauer's Exclusive Study Analyzes 2014 IPOs
Proskauer's Global Capital Markets Group has just released its second annual IPO Study, the group's analysis of U.S.-listed initial public offerings in 2014 and identification of year-over-year comparisons and trends.
United States
17 Mar 2015
SEC Permits BDCs To Analyze LPs As Stockholders For Certain Co-Investments
On December 5, 2014, the Securities and Exchange Commission, through the Chief Accountant's Office of its Investment Management Division, issued a Guidance Update in response to a public inquiry regarding co-investment transactions involving a business development company (BDC) and a limited partner of a private partnership that is under common control with a BDC.
United States
15 Dec 2014
American Realty Capital Properties To Acquire Cole Real Estate Investments For $11.2 Billion
October 23, 2013 (New York) — Global law firm Proskauer represented American Realty Capital Properties, Inc. ("ARCP") (NASDAQ: ARCP) in its definitive merger agreement to acquire Cole Real Estate Investments, Inc. ("Cole") (NYSE: COLE) in a transaction valued at $11.2 billion.
United States
28 Oct 2013
SEC Lifts Ban on General Solicitation In Private Placements, While Adopting And Proposing Other Limitations And Requirements
Earlier this month, the SEC adopted amendments mandated by the JOBS Act that will permit general solicitation and advertising[1] in certain private securities offerings under Rule 506 of Regulation D, as well as in private offerings under Rule 144A.
United States
25 Jul 2013
American Realty Capital Properties To Acquire American Realty Capital Trust IV in $3.1 Billion Transaction
July 11, 2013 (New York) – American Realty Capital Properties, Inc. ("ARCP") announced a definitive merger agreement to acquire all of the outstanding shares of American Realty Capital Trust IV ("ARCT IV") in a $3.1 billion transaction whereby ARCP will own 2,579 single tenant properties net leased to 470 tenants across 29 industries in 48 states.
United States
21 Jul 2013
American Realty Capital Properties Acquires American Realty Capital Trust III
March 1, 2013 (New York) – American Realty Capital Properties, Inc., and American Realty Capital Trust III, Inc., completed the closing of their merger in which global law firm Proskauer served as corporate counsel to both companies.
United States
8 Mar 2013
Navigating The SEC's Recently Finalized Conflict Mineral Rules
On August 22, 2012, the U.S. Securities and Exchange Commission adopted its final rules implementing Section 1502 of the Dodd-Frank Act.
United States
24 Sep 2012
House Passes JOBS Act—Legislation Would Facilitate Public And Private Capital Formation By Emerging Growth Companies
The U.S. House of Representatives has passed legislation that, if approved by the Senate and enacted into law, would allow companies to raise capital more easily in both the private and public markets.
United States
19 Mar 2012
ISS Releases Updated Proxy Voting Policies For 2012
On November 17, 2011, Institutional Shareholder Services, the influential proxy advisory firm, released its 2012 proxy voting policies. These policies, which govern ISS' voting recommendations, will begin to apply for shareholder meetings that take place on or after February 1, 2012.
United States
1 Dec 2011
Preparing For The 2012 Proxy Season: Looking Back At The Last Season And Forward To The Next
Dodd-Frank say-on-pay votes had a big impact on the 2011 proxy season, and issuers under criticism for their pay practices should expect continued shareholder pressure on the say-on-pay front.
United States
18 Nov 2011
Proposed FINRA Rule 5123: Disclosure In Private Placements
The SEC recently solicited a second round of comments on the proposed new FINRA rule governing private placements.
United States
4 Nov 2011
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