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Mayer Brown
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Fax: +1 312 7017711
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IL 60606
United States
By Ori Lev
Many thought that with former Director Richard Cordray's resignation, the Consumer Financial Protection Bureau (CFPB) would stop using its abusiveness authority in enforcement actions.
By Phyllis Korff, Candace R. Jackson
In this article published in The Review of Securities & Commodities Regulation, we discuss the implications of the SEC's recent actions to modernize and simplify disclosure requirements
By Christopher Comstock, Thomas V. Panoff
On Tuesday (September 3, 2019), the U.S. District Court for the District of Columbia issued an order dismissing a lawsuit filed by the Conference of State Bank Supervisors
By Julie A. Gillespie
The revisions defer further action on the covered fund issues most relevant to securitizations and CLOs to a later rulemaking.
By Julie A. Gillespie, Jan Stewart
We expect market participants to use the data provided by the CFPB in the report as a benchmark for evaluating performance and regulatory trends for credit card programs.
By Matthew F. Kluchenek
The Wall Street Journal recently quoted Mayer Brown Partner Matthew F. Kluchenek regarding a federal judge's demand that the new chairman and two commissioners of the Commodity Futures Trading Commission
By Anna T. Pinedo
At the Economic Club of New York, in keynote remarks, Chair Clayton reviewed the Securities and Exchange Commission's recent initiatives.
By Michael Hermsen
On September 6, 2019, the Division of Corporation Finance of the US Securities and Exchange Commission announced a significant change to its process with respect
By Laura Richman, Matthew F. Streit
This market trends article discusses Staff Legal Bulletin No. 14I and Staff Legal Bulletin No. 14J of the Division of Corporation Finance of the Securities and Exchange Commission,
By Mayer Brown
On August 21, 2019, the Securities and Exchange Commission published two separate releases related to proxy voting issues. One release provided guidance regarding
By Leslie Cruz, Adam Kanter, Stephanie Monaco
On August 21, 2019, the US Securities and Exchange Commission (SEC) published guidance on the proxy voting responsibilities of investment advisers under the Investment Advisers Act of 1940
By Laurence E. Platt
If only the U.S. Treasury had a magic wand to ensure that the dozens of recommendations released last night in its long-awaited reform proposals for housing finance would become a reality;
By Anna T. Pinedo, Brian D. Hirshberg
In this Lexis Practice Advisor® Practice Note, we provide answers to questions frequently asked by securities lawyers and their clients regarding the federal securities laws
By Jan Stewart, Julie A. Gillespie
California law restricts the types of instruments in which California cities, districts and other local agencies can invest public funds.
By Duane Layton, Matthew McConkey
On August 23, 2019, China announced that it will impose additional tariffs of 5% or 10% on US imports valued at approximately $75 billion.
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