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  • Article

    Corrigendum To EU Technical Standards On Supervisory Reporting Of Institutions Of Liquidity Coverage Arrangements

    On April 9, 2016, a corrigendum relating to the format and frequency of the reporting of liquidity requirements under the Capital Requirements Regulation was published in the Official Journal of the European Union.
    European UnionFinance and Banking
    A&O Shearman
    A&O Shearman
  • Article

    Threat Level Orange

    The state securities regulators, NASAA, just recently published their list of financial products that pose investor protection concerns.
    United StatesCorporate/Commercial Law
    Morrison Foerster
    Morrison Foerster
  • Podcast

    Credibly Challenged Podcast - Interview With Tom Killian, Senior Bank Advisor (Podcast)

    Matt Bisanz and Tom Killian discuss innovative approaches to regulatory recognition of commercial real estate risk transfer in US banking. The conversation examines how banking agencies can enable responsible growth in commercial real estate lending while maintaining appropriate risk management standards.
    United StatesFinance and Banking
    Mayer Brown
    Mayer Brown
  • Article

    Franklin Templeton, K2 Launch Global Macro Liquid Alt Fund

    Franklin Templeton, along with its alternatives unit K2 Advisors, launched the Franklin K2 Global Macro Opportunities Fund.
    United StatesFinance and Banking
    Herbert Smith Freehills Kramer LLP
    Herbert Smith Freehills Kramer LLP
  • Article

    Liquidity Management The Top Priority For Alternative Fund Managers, Survey Finds

    Alternative asset managers identified liquidity management as their top priority in a survey conducted by AIMA and State Street.
    United StatesFinance and Banking
    Herbert Smith Freehills Kramer LLP
    Herbert Smith Freehills Kramer LLP
  • Article

    Marshall Sprung To Step Down As Co-Chief Of SEC's Asset Management Enforcement Unit

    Marshall Sprung, co-chief of the SEC Division of Enforcement's Asset Management Unit, will leave the agency later this month.
    United StatesFinance and Banking
    Herbert Smith Freehills Kramer LLP
    Herbert Smith Freehills Kramer LLP
  • Article

    SEC Makes Two Appointments To Risk And Examinations Office

    In a pair of appointments, the SEC named Timothy Husson as associate director in the Division of Investment Management's Risk and Examinations Office and Sara P. Crovitz as deputy chief counsel...
    United StatesFinance and Banking
    Herbert Smith Freehills Kramer LLP
    Herbert Smith Freehills Kramer LLP
  • Article

    SEC Pushes New ETF Rules Despite Objections From Asset Managers

    The SEC is advancing rules to tighten standards on the rapidly growing ETF industry despite objections from asset managers, including BlackRock and Invesco, which argue the rules are unnecessary...
    United StatesFinance and Banking
    Herbert Smith Freehills Kramer LLP
    Herbert Smith Freehills Kramer LLP
  • Article

    T. Rowe Price Unveils Multi-Strategy Total Return Fund

    T. Rowe Price Group launched the T. Rowe Price Multi-Strategy Total Return Fund, which combines six internally managed liquid alternative strategies ...
    United StatesFinance and Banking
    Herbert Smith Freehills Kramer LLP
    Herbert Smith Freehills Kramer LLP
  • Article

    ESMA Publishes CRA III Regulation Implementation Consultation Paper

    On February 11, ESMA published a consultation paper on the implementation of the CRA III Regulation containing draft regulatory technical standards (RTS).
    European UnionFinance and Banking
    Orrick
    Orrick
  • Article

    FSOC Briefed On LIBOR, Hedge Fund Activities And Data Collection (With Delta Strategy Group Summary)

    In addition, the FSOC unanimously approved revisions to regulations under the Freedom of Information Act ("FOIA"), pursuant to the FOIA Improvement Act of 2016.
    United StatesFinance and Banking
    Hogan Lovells Cadwalader
    Hogan Lovells Cadwalader
  • Article

    Nonprofit Seeks To Enjoin DOJ Settlement With JP Morgan

    On February 10, non-profit corporation Better Markets, Inc., filed a complaint in the United States District Court for the District of Columbia against the United States Department of Justice and the Attorney General of the United States.
    United StatesFinance and Banking
    Orrick
    Orrick
  • Article

    European Central Bank To Undertake Comprehensive Assessment Of Large Banks In Advance Of The Single Supervisory Mechanism

    In a press release dated October 23, the ECB announced that it will undertake a comprehensive assessment of large banks prior to assuming full responsibility for supervision as part of the SSM.
    European UnionFinance and Banking
    Orrick
    Orrick
  • Article

    Federal Register: Federal Reserve Board Expands Applicability Of Small Bank Holding Policy Statement

    The Board of Governors of the Federal Reserve System ("FRB") interim final rule to raise the consolidated asset threshold for bank holding companies seeking relief under the small bank holding company policy statement ...
    United StatesFinance and Banking
    Hogan Lovells Cadwalader
    Hogan Lovells Cadwalader
  • Article

    Northern Trust Launches North America Alternative Fund Services

    Northern Trust launched North America Alternative Fund Services, which combines its private equity and hedge fund services businesses to address the complex operational and strategic needs the alternative asset management industry.
    United StatesFinance and Banking
    Herbert Smith Freehills Kramer LLP
    Herbert Smith Freehills Kramer LLP
  • Article

    IRS Releases Final Regulations For Reporting Of Specified Foreign Financial Assets

    On Dec. 12, the IRS released final regulations under Section 6038D https://s3.amazonaws.com/public-inspection.federalregister.gov/2014-29125.pdf (T.D. 9706) relating to the provisions of the Hiring Incentives to Restore Employment (HIRE) Act that require specified foreign financial assets to be reported to the IRS for taxable years beginning after March 18, 2010.
    United StatesTax
    Grant Thornton LLP
    Grant Thornton LLP
  • Article

    Federal Agencies Release Joint Statement On Second Round Resolution Plans Of "First-Wave Filers"

    On August 5, 2014, the Board of Governors of the Federal Reserve System ("Federal Reserve Board") and the Federal Deposit Insurance Corporation ("FDIC") provided feedback on the second round of resolution plans submitted by 11 large, global banking organizations.
    United StatesFinance and Banking
    A&O Shearman
    A&O Shearman
  • Podcast

    In The Tranches: LP-Led CFOs (Podcast)

    Structured credit plays a vital role in private credit markets by pooling loans, receivables, and cash-flowing assets to create tailored investment opportunities across various risk-return profiles.
    United StatesFinance and Banking
    Proskauer Rose LLP
    Proskauer Rose LLP
  • Article

    Real Estate Finance Hiring

    BNP Paribas is seeking a Vice President - Legal Counsel to serve on the Asset Finance & Securitization (“AFS”) Legal team.
    United StatesFinance and Banking
    Hogan Lovells Cadwalader
    Hogan Lovells Cadwalader
  • Article

    Waiting For The Sun - Recent Transactions

    Cadwalader's real estate finance team has successfully closed several major transactions spanning student housing portfolios, luxury resort acquisitions, office complex refinancings, industrial warehouse facilities, and cold-storage properties. These deals range from $39.25 million to $1.435 billion and involve diverse property types across multiple states, demonstrating the firm's comprehensive capabilities in commercial real estate lending and acquisition financing.
    United StatesFinance and Banking
    Hogan Lovells Cadwalader
    Hogan Lovells Cadwalader

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