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Skadden Arps Slate Meagher & Flom LLP | USA | 3 Apr 2020

Considerations for Commercial Mortgage REITs in a Market Driven by COVID-19

Decisions by state and local governments in the U.S. to control the spread of the COVID-19 virus through shelter-in-place orders and business closures…

Skadden Arps Slate Meagher & Flom LLP | USA | 24 Mar 2020

In Response to COVID-19, Federal Reserve Establishes ‘TALF 2.0’

On March 23, 2020, as part of its response to support the flow of credit to consumers and businesses in the face of the COVID-19 pandemic, the Board…

Hogan Lovells | European Union, United Kingdom, USA | 21 Feb 2020

Summary of key U.S. and EU regulatory developments relating to securitization transactions

Numerous regulatory developments were enacted Or proposed in the United States and the European Union in response to the financial crisis…

White & Case LLP | European Union, USA | 5 Sep 2019

European CMBS 2.0: How sustainability is the future of the product

Post-crisis commercial mortgage-backed securities ("CMBS") issuance in Europe has been on the slow-burner with only a handful of transactions each…

Schulte Roth & Zabel LLP | USA | 10 Feb 2019

How Natural Disasters Influence CRE Participants' Decisions

Climate change and the increase in natural disasters occurring as a result are increasingly on the minds of those in the commercial real estate…

Arthur Cox | European Union | 16 Oct 2018

Simple, Transparent and Standardised (STS) Securitisations: What you need to know

The new EU Securitisation Regulation will apply from 1 January 2019. It will significantly reform the EU securitisation market, and will introduce a…

Cadwalader Wickersham & Taft LLP | European Union, USA | 11 Oct 2018

The Evolution of European CMBS 2.0

This briefing reviews developments in European CMBS since the financial crisis and focuses on (1) 2011-15 European CMBS transactions…

Buckley LLP | USA | 21 Sep 2018

Freddie Mac releases various selling updates in Guide Bulletin 2018-15

On September 19, Freddie Mac released Guide Bulletin 2018-15, which announces selling updates, including revisions to requirements for authorized…

Cadwalader Wickersham & Taft LLP | USA | 21 Mar 2018

Under Advisement: SEC Scrutinizes Wealth Management Industry

Recent events have made it clear that there is an increased regulatory focus on the conduct of investment professionals in the wealth-management…

Buckley LLP | USA | 14 Feb 2018

International bank and head trader settle with SEC for CMBS fraud

On February 12, the Securities Exchange Commission (SEC) announced that it reached an agreement with an international bank and its former head trader…
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