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.
Fed Issues Updated FAQs on Debit Card Interchange Fees
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FDIC and Treasury Issue Notice of Proposed Rulemaking on the Calculation of Maximum Obligation Limitation
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SEC Penalizes Investment Advisers for Compliance Failures—Lessons For Soon to be Registered Advisers to Private Equity and Hedge Funds
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A Useful Tool for Understanding Derivatives
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Deere and HP May Exclude Shareholder Proposals Requesting Mandatory Auditor Rotation
By Steve Quinlivan on
MSRB Rule G-23 Concerning the Activities of Financial Advisors Effective November 27, 2011
By Steve Quinlivan on
Fed Adopts Final Rules Regarding Capital Plans and Announces Stress Tests
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Retailers Launch Litigation on Interchange Fees, Bankers Claim Lawsuit Is Disgraceful
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FINRA Proposes Amendment to Conform Arbitration to Dodd-Frank
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