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Mayer Brown
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71 S. Wacker Dr.
IL 60606
United States
By Bradley Berman, David Bakst, David Duffee, J. Paul Forrester, Anna T. Pinedo
On April 25, 2019, the Alternative Reference Rates Committee ("ARRC") published "ARRC Recommendations Regarding More Robust Fallback Language for New Issuances of LIBOR Floating Rate Notes" ("ARRC Recommendations").
By David Sahr, Donald Waack, Thomas Delaney, Jeffrey Taft, Elizabeth Raymond, J. Paul Forrester, Matthew Bisanz
On April 23, 2019, the Board of Governors of the Federal Reserve System (the "Board") approved a long-awaited proposal (the "Control Proposal" or "Proposal") to revise its rules for determining
By Emily Booth-Dornfeld, Krista Cooley, Phillip Schulman, Stacey Riggin
On March 27, 2019, the US Department of Housing and Urban Development's ("HUD") Federal Housing Administration ("FHA") published the first update to its Single Family Housing Policy Handbook
By Anna T. Pinedo
The SEC announced the new Office of the Advocate for Small Business Capital Formation will host a roundtable on May 6th, which will address, among other things
By Barry Machlin
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
By Stephanie Duchene
One of the greatest legal and compliance risks facing the insurance industry today is the everevolving landscape of privacy and data security laws. The California Consumer Privacy Act ("CCPA")
By Anna T. Pinedo
The amendments adopted on March 20, 2019 implementing the FAST Act mandates generally become effective today, May 2, 2019.
By Joseph A. Castelluccio, Rebecca Bothamley, Jennifer M. Miller
A consortium of 12 insurance underwriters led by Liberty GTS recently paid a €50 million claim under a warranty and indemnity liability (W&I) insurance policy issued in connection with FSN Capital's acquisition of Gram Equipment.
By J. Paul Forrester
On April 25th, the Alternative Reference Rates Committee, an advisory committee of the New York Federal Reserve Bank (ARRC),
By Mayer Brown
Privacy and the safeguarding of customer information continues to be an important compliance topic from the SEC's perspective, including its examination staff.
By Mayer Brown
A company director of an offshore company dealt with the appointment of an architect for works to the company's London property.
By Martín Estrada
On April 8, 2019, Commissioner Hester Peirce of the Securities and Exchange Commission ("SEC") delivered a speech entitled "SECret Garden" at the Practicing Law Institute's 2019 SEC Speaks conference.
By Reginald Goeke, Stephanie Monaco, Leslie Cruz
On April 19, 2019, the US Securities and Exchange Commission (SEC) published a settled administrative proceeding against Prosper Funding LLC (Pr)osper) for violating Section 17(a)(2
By Mayer Brown
In a one-line per curiam order issued this morning, a unanimous Supreme Court declined to resolve a dispute, argued before the Court last Monday,over whether Section 14(e) of the Securities and Exchange Act of 1934
By Ryan Castillo
It is no secret that the use of non-GAAP financial measures, which are financial measures that are neither calculated nor presented in accordance with U.S. generally accepted accounting principles
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