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HTMLWho is in Control? The Rights of Noteholders and the Discretion of the Note Trustee
Dentons Canada LLP;
Legal Alert/Article
July 29, 2014, previously published on July 2, 2014
The debate at the heart of U.S. Bank Trustees Limited v Titan Europe 2007-1 (NHP) Limited and others was whether a distressed property portfolio should be sold at once or retained in the hope of realising a better price. Such disputes are by no means novel, particularly in times when property...


Adobe PDFGetting the Deal Through Acuisition Finance 2014
Anastasia Irawati, Freddy Karyadi; Ali Budiardjo, Nugroho, Reksodiputro (ABNR);
Legal Alert/Article
July 29, 2014, previously published by Reproduced with permission from Law Business Research Ltd. This article was first published in Getting the Deal Through - Acquisition Finance 2014, (published in May 2014; contributing editors:  Marisa Stavena, Alexandra Kaplan and Ryan Bekkerus of Simpson Thacher & Bartlett LLP)
This article on acquisition finance provides an analysis in key areas of law and policy in Indonesia for corporate counsel, cross-border legal practitioners and clients.


HTMLTexas District Court Addresses Prior Express Consent
Zachary D. Miller; Burr & Forman LLP;
Legal Alert/Article
July 26, 2014, previously published on July 8, 2014
In Cherkaoui v. Santander Consumer USA, Inc., No. 4:13-cv-00467 (S.D. Tex. May 23, 2014), the U.S. District Court for the Southern District of Texas examined how a creditor may obtain “prior express consent” from a borrower and the level of evidence necessary for a borrower to survive...


HTMLDisputing Debts under the FDCPA - The Effect of the Fourth Circuit’s Opinion in Clark v. Absolute Collection Service, Inc.
R. Scott Adams; Spilman Thomas & Battle, PLLC;
Legal Alert/Article
July 26, 2014, previously published on July 16, 2014
In January of this year, the United States Court of Appeals for the Fourth Circuit (“Fourth Circuit”) decided the case of Clark v. Absolute Collection Service, Inc. (741 F.3d 487, 4th Cir. 2014). The question of first impression before the Court was whether Section 1692g(a)(3) of the...


HTMLSecretary Lew Calls on Financial Institutions to Strengthen Their Cybersecurity Defenses
Steven G. Brody, Jason E. Glass; Bingham McCutchen LLP;
Legal Alert/Article
July 25, 2014, previously published on July 17, 2014
On July 16, 2014, U.S. Treasury Secretary Jacob J. Lew delivered the keynote speech at the Delivering Alpha conference, a gathering of hedge fund industry participants. Secretary Lew used this event to issue strongly-worded remarks on the serious nature of cyber-incursions, in particular the...


HTMLWorld Bank to Help Finance World’s First Floating Liquefaction Plant
Sutherland Asbill Brennan LLP;
Legal Alert/Article
July 24, 2014, previously published on July 17, 2014
Bloomberg News reports that the International Finance Corp. (IFC), a member of the World Bank Group focused exclusively on the private sector, will help finance a $300 million project to develop the world’s first floating LNG liquefaction plant, which will be located in Colombia. The project...


HTMLA “Comfort Letter” Can Play An Important Role In Financing A Branded Hotel
Rose Marie L. Fiore; McGlinchey Stafford;
Legal Alert/Article
July 15, 2014, previously published on Summer 2014
A franchised or “branded” hotel is one affiliated with a major hotel franchisor, such as Hilton® or Starwood®. Hotels that are part of a branded chain typically operate under a franchise agreement. A franchise agreement is an agreement between a franchisor and a franchisee,...


HTMLAndrew Ceresney: 2014 Enforcement Accomplishments and Priorities Relating to Financial Services Firms
Amy Natterson Kroll, Elizabeth A. Marino; Bingham McCutchen LLP;
Legal Alert/Article
July 14, 2014, previously published on June 17, 2014
Andrew Ceresney, Director, Division of Enforcement (the “Division”), Securities and Exchange Commission (“Commission”), recently spoke at Compliance Week 2014 regarding the Division’s accomplishments over the past year and its priorities for the remainder of 2014.1 Of...


HTMLAgencies Publish Volcker Rule Frequently Asked Questions
Yevedzo R. Chitiga, Andrew B. Kales; Bingham McCutchen LLP;
Legal Alert/Article
July 14, 2014, previously published on June 17, 2014
On June 10, 2014, the U.S. federal banking agencies,1 the U.S. Securities and Exchange Commission, and the U.S. Commodity Futures Trading Commission (collectively, the “Agencies”), published answers to six frequently asked questions (“FAQs”) regarding the Volcker Rule.2 The...


HTMLEuropean Bail-Ins - Austria Next?
Ferdinand Mason, Lucas J. Moore, Stephen J. Pearson, Daniel Travers; Jones Day;
Legal Alert/Article
July 11, 2014, previously published on July 2014
The European drive toward bail-ins continues unabated. So too does the increasing uncertainty for investors in European financial institutions, for whom the bail-in concept raises the spectre of the effective loss of their investments by way of contribution to any rescue. Investors in Austria's...


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