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.
SEC Relief for Late Filings Expires
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Can Target Fiduciaries Aid and Abet an Acquirer’s Board for Breach of Fiduciary Duty?
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Preparing the Second Quarter Form 10-Q in Light of COVID‑19 and Associated Issues
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Controller’s Influence Must be Completely Disabled for MFW to Apply
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Chancery Discusses Privilege Waiver in Context of Asset Purchase
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SEC Charges Company for Undisclosed Perqs
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Delaware Supreme Court Holds Indirect Equity Holders Not Bound by ROFR
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SEC Charges Alternative Asset Manager with Failing to have Sufficient Policies to Prevent Use of MNPI
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Treasury Proposes to Modify CFIUS Mandatory Declaration Requirements
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