Searching Content indexed under Project Finance/PPP & PFI by Mayer Brown ordered by Published Date Descending.
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Export Credit Agencies And Political Risk Insurers In International Project Financing
An Export Credit Agency (commonly referred to as an ECA) is a national government-owned or affiliated entity that supports the export of domestic goods and services by providing financing
United States
16 May 2019
Utility Tariff Bonds For Coal and Other Electrical Generating Plant Retirements In Montana?
Montana may be, like New Mexico and possibly Colorado,1 permitting utility tariff bonds related to certain electrical generating plant retirements.
United States
26 Apr 2019
Utility Tariff Bonds For Storm Recovery In North Carolina—Coming To Your State Soon?
Joining other coastal states (including Florida, Louisiana and Texas1), North Carolina (NC) is considering permitting utility tariff bonds for storm recovery.
United States
25 Apr 2019
FERC Clarifies Its Concurrent Jurisdiction With Regard To Bankruptcy Filings That Seek To Reject Power Purchase Agreements
On January 25, 2019, the US Federal Energy Regulatory Commission issued an order clarifying its position with regard to bankruptcy filings that seek to reject Commission-jurisdictional wholesale power purchase agreements.
United States
1 Feb 2019
Solar Power International 2018: Soundbites
Below are soundbites from panel discussions at Solar Power International on September 25 and 26 in Anaheim, California.
United States
4 Jan 2019
Tax Equity Webinar Q&A
Below are answers to questions we received during our tax equity webinar of October 23. These questions were submitted online during the webinar.
United States
13 Dec 2018
NREL's 2018 PV Project Finance Report
David Feldman and Paul Schwabe of the National Renewable Energy Laboratory (NREL) have published their annual solar PV financing report: Terms, Trends, and Insights on PV Project Finance...
United States
5 Dec 2018
Power Finance & Risk – Tax Equity Roundtable 2018 Report
We were pleased to participate in Power Finance & Risk's (PFR) Tax Equity Roundtable. We were joined in the roundtable discussion by Rich Dovere of C2 Energy Capital, Marshal Salant of Citi,
United States
14 Nov 2018
Nationalized Financial Institutions May Be Entitled to Sovereign Immunity Under Pre-Nationalization Contracts
In Fir Tree Capital Opportunity Master Fund v. Anglo Irish Bank Corporation Limited (November 28, 2011)
United States
5 Apr 2012
Financial Regulation Reform Legislation and Securitization
On July 22, 2009, the Obama administration delivered proposed legislation to Congress that addresses several of the administration’s key policy objectives for the securitization markets.
United States
9 Aug 2009
Financial Regulation Reform and Securitization
On June 17, 2009, the Obama administration released extensive proposals to change the financial services regulatory regime in the United States.
United States
7 Jul 2009
Application of the German Investment Act to Units in Foreign Funds: Circular by the German Financial Supervisory Authority
On December 22nd, 2008 the German Financial Supervisory Authority (Bundesanstalt für die Finanzdienstleistungsaufsicht “BaFin”) published circular 14/2008 (WA) (“Circular”) on its interpretation of the scope of the German Investment Act (Investmentgesetz – “InvA”) as amended on December 21st, 2007.
14 Jan 2009
FDIC Adopts Interim Rule on Temporary Liquidity Guarantee Program
On October 23, 2008, the Federal Deposit Insurance Corporation (FDIC) adopted an interim final rule (the Interim Rule) establishing the Temporary Liquidity Guarantee Program (TLG Program).
United States
27 Oct 2008
Regulation R – Broker "Push-out" Rules
Regulation R was jointly adopted by the Securities and Exchange Commission (SEC) and the Board of Governors of the Federal Reserve System (FRB) in September of 2007 to implement provisions of the Gramm-Leach-Bliley Act of 1999 (GLBA) governing bank brokerage activities.
United States
14 Nov 2007
Private Investment Fund Newsletter: Amendments to ERISA Exemption for Qualified Professional Asset Managers (QPAMs)
Managers that rely on the exemption for qualified professional asset managers, or the "QPAM Exemption," should be aware of certain amendments published by the Department of Labor on August 23, 2005 changing the conditions and scope of the exemption.
United States
7 Oct 2005
SEC Adopts Final Rules for Asset-Backed Securities
On December 15, 2004, the Securities and Exchange Commission adopted a massive set of rules for asset-backed securities ("ABS") under the Securities Act of 1933 and the Securities Exchange Act of 1934 ("Regulation AB").
United States
27 Jan 2005
SEC Proposes Securities Act Reform
On October 26, 2004, the Securities and Exchange Commission proposed modifications to the securities registration and offering processes under the Securities Act of 1933. Release Nos. 33-8501; 34-50624; IC-26649. It is the first attempt by the SEC to make wholesale revisions to the capital raising process since the SEC’s "aircraft carrier" proposals in 1998. Release No. 33-7606A.
United States
21 Dec 2004
United States
30 Apr 2001
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