Developments in Securities Regulation, Corporate Governance, Capital Markets, M&A and Other Topics of Interest. MORE
Steve Quinlivan
Steve has a strong reputation in M&A, securities and international transactions, offering a rare combination of excellence and value who presents well to boards. Steve represents clients across the United States in mergers and acquisitions, ESOPs, REITs, securities regulation, securities offerings, international transactions and financing matters. He uses his deep background in law, finance, accounting and project management to complete his clients' most strategically important and challenging assignments.
Who is Too Big to Fail? FDIC Doesn’t Answer Question
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CFPB Begins to Fix Recently Adopted Rules
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CFTC Commissioners Bicker About Budget and Performance Report
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CFTC Extends Compliance Dates for End User Swap Reporting
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CFTC’s Final Rule Exempting Certain RTO Transactions from CFTC Regulation Largely Affirms Earlier Order but Offers Helpful Changes to Market Participants
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Use of Additional Soliciting Materials Remains Constant in 2013
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CFTC No-Action Letter Allows Most End Users to Report All Trade Options on Annual Aggregate Basis
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Fed Approves Rule Defining When a Company is “Predominantly Engaged in Financial Activities”
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CFPB Takes Action Against Mortgage Insurers to End Kickbacks to Lenders
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