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Cyane B. Crump

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Cyane B. Crump

Partner
 
Hunton & Williams LLP
Riverfront Plaza, East Tower, 951 East Byrd Street
Richmond, Virginia  23219-4074
(Ind. City; Seat of Henrico Co.)

Telephone: 804-788-8214
Fax: 804-788-8218; 804-788-8219
http://www.hunton.com



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Practice AreasCorporate; Securities; Business Law; Corporate Contracts; Corporate Law; Corporate Commercial Law; Corporate Ethics; Corporate Fiduciary Law; Corporate Finance; Corporate Formation; Corporate Governance; Corporate Investigations; Corporate Organization; Corporate Reorganization; Incorporation; Proxy Contests; Public Corporations; Takeovers; Tender Offers; Mergers, Acquisitions and Divestitures; Business Acquisitions; Business Divestitures; Merger Reorganization; Leveraged Acquisitions; Leveraged Buyouts; Mergers and Acquisitions; Mergers and Acquisitions Finance; Initial Public Offerings; Private Placement; Public Offerings; Securities Disclosure; Securities Finance; Securities Offerings; Securities Registration
 
EducationUniversity of Virginia, J.D., 1994, University of Virginia, B.A., with distinction, 1991
 
Admitted1994, Virginia
 
MembershipsVirginia State Bar; Richmond, Virginia and American Bar Associations.
 
BornRichmond, Virginia, July 2, 1969
 
ISLN900086371
 

Documents by this lawyer on Martindale.com


SEC Proposes Pay-to-Play Rules--Restricts Political Contributions and Prohibits Certain Uses of Placement Agents
James S. Seevers, Cyane B. Crump, September 15, 2009
On August 3, 2009, the Securities and Exchange Commission ("SEC") proposed for comment new Rule 206(4)-5 (the "Proposed Rule") under the Investment Advisers Act of 1940 (the "Advisers Act") relating to "pay-to-play" practices among investment advisers,...

Obama Administration Proposes Registration and Additional Reforms Impacting Private Fund Advisers
James S. Seevers, Cyane B. Crump, Francine E. Friedman, August 4, 2009
On July 10, 2009 and July 15, 2009, the Obama administration proposed the "Private Fund Investment Advisers Registration Act of 2009" (the "Registration Proposal") and the "Investor Protection Act of 2009" (the "Investor Protection Proposal") to implement a...

Obama Administration Proposes Registration of Private Fund Advisers Following Recent Similar Proposals
James S. Seevers, Cyane B. Crump, Francine E. Friedman, July 1, 2009
On June 17, 2009, the Obama administration proposed a plan for Financial Regulatory Reform (the "White Paper") that addresses five key objectives identified by the Obama administration to reform the financial regulatory system. Certain of the White Paper's proposals, if enacted, will have...


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