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Mayer Brown
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IL 60606
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By Steven D. Garden, Jared Goldberger, Thomas Humphreys, Russell Nance, Remmelt Reigersman, Lucas Giardelli, George Haines, Juan F. Lopez Valek, Amit S. Neuman, Andre Smith II, Grace Sur, Stephanie Wood, Brennan W. Young
Mayer Brown's Capital Markets Tax Quarterly provides capital markets-related US federal tax news and insights. In this issue of CMTQ, we look at Q3 2019.
By Amanda Baker, Rebecca Eisner, Joe Pennell, Elizabeth Raymond
Transactions involving fintech companies, and particularly fintech companies incorporating artificial intelligence ("AI") into their products and services, are now commonplace in the fintech landscape.
By Michael Hermsen, Robert Gray, Jr., Laura Richman
This Legal Update discusses the proposed changes and notes practical considerations for public companies.
By Nanda Al Qazaz, Amany Hassan, Tahan A. Thraya, Charles Hallab, Jad A. Taha, Elizabeth Espín Stern, Grace Shie
The UAE Ministry of Human Resources and Emiratisation recently issued new implementation rules with respect to Article 14 of the UAE Federal Labour Relations Act No. 8 of 1980, known as the "Emiratisation Program – Tawteen," ...
By Bryan L. Barreras, David B. Kobray
Issues For Administrative Agent To Consider.
By Bryan L. Barreras, Kiel Bowen, Todd Bundrant, Mark Dempsey, Christopher Ellis, Ann Richardson Knox, David B. Kobray, Michael Loquercio, Monique Mulcare, Eric Reilly, Kristin Rylko, Susannah L. Schmid, Aubry D. Smith, Vincent R. Zuffante
Finally, we examine the use of repurchase facilities as an alternative source of liquidity for private equity funds.
By Marlon Paz, Kyle P. Swan
FINRA Publishes 2019 Report on Examination Findings and Observations
By Julie A. Gillespie, Jan Stewart, Jeffrey Taft, John-David Treumann
In July, the Federal Deposit Insurance Corporation proposed a change to certain provisions of its securitization safe harbor rule to eliminate the requirement that the securitization documents for non-grandfathered ...
By Stephanie Monaco, Marlon Paz, Kyle P. Swan
On October 8, 2019, FINRA published a new resource to assist its member firms in their efforts to comply with the SEC's Regulation Best Interest (Reg. BI) and Form CRS by the June 30, 2020 compliance date.
By Mayer Brown
On September 26, 2019, the IOSCO released its report setting out the findings of its review on the consistency of implementation by 29 IOSCO members in 28 jurisdictions of the nine suitability principles ...
By Mayer Brown
On October 3, 2019, the SEC Retail Task Force held a roundtable on combating elder investor fraud.
By Matthew F. Kluchenek, Marla Matusic, Marlon Paz, Anna T. Pinedo, Ansley H. Schrimpf, Kyle P. Swan, Matthew Bisanz
This legal update provides a general overview of selected aspects of the Final Rule.
By Eric Evans, Brad Peterson, Alex Lakatos
Machine learning algorithms and other applications of artificial intelligence are making more and more day-to-day business decisions.
By Charles Harris, II, Elizabeth Mann
The California Consumer Privacy Act (CCPA or Act),[1] effective January 1, 2020, strengthens consumer privacy rights for California residents by providing them greater contro
By Julie A. Gillespie
We continue our series on capital relief trades (CRTs) with a look at issues that arise under the Volcker Rule and U.S. risk retention rules in connection with structuring CRTs in the U.S.
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