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C. ANDREW GERLACH
Andrew Gerlach is a partner in the Firm’s Financial Services and Mergers and Acquisitions Groups and co-head of the North America insurance practice. Mr. Gerlach’s practice is primarily focused on mergers and acquisitions, divestitures, joint ventures, securities offerings and similar trSHARON NELLES
Sharon Nelles, Managing Partner of the Firm’s Litigation Group and member of the Firm’s Management Committee, represents global companies and financial institutions and their boards in every aspect of critical company matters that implicate not only civil litigation but also related regulatory, congressional and criminal investigations and enforcement actions. BENJAMIN M. GOODCHILD Benjamin Goodchild is an associate in the Firm’s Mergers and Acquisitions Group with a broad multidisciplinary practice that includes experience in mergers and acquisitions, capital markets and corporate governance both within the US and internationally. Mr. Goodchild’s practice includes counseling clients on mergers, jointventures, stock
JARED M. FISHMAN
Jared M. Fishman. Jared Fishman is a partner in the Firm’s Financial Services and Capital Markets Groups. His practice is primarily focused on advising banks, broker-dealers, insurance companies and other companies in mergers and acquisitions, divestitures, capital raisings and similar transactions. He also regularly advises clients on a wideFREDERICK WERTHEIM
Rick Wertheim is a partner in the Firm’s Financial Institutions Group, concentrating on broker-dealer regulation and investment management. In the area of broker-dealer regulation, Mr. Wertheim regularly advises major investment banks and smaller brokerage firms on both transactional and compliance matters, including compliance with margin regulations.KATHLEEN MCARTHUR
Kathleen S. McArthur, co-head of S&C’s Securities & Commodities Investigations and Enforcement practice and the Firm’s Commodities, Futures and Derivatives practice, has advised some of the world’s biggest companies on major matters involving complex financial products, including enforcement inquiries, internal investigations and commercial litigation.SUNITI N. MEHTA
Suniti Mehta is an associate in the Firm’s Litigation Group. Her practice focuses on complex criminal, civil, and regulatory enforcement matters and internal investigations and securities litigation. She has advised financial institutions and corporations in proceedings involving allegations oSOPHIE A. MOEDER
Sophie Moeder is a member of Sullivan & Cromwell’s General Practice Group in the Firm’s Frankfurt office. She has been practicing U.S. securities law at S&C since she joined the Firm’s London office in 2001, focusing mainly on debt and equity capital markets transactions by non-U.S. issuers and ongoing U.S. securities law advice for non-U.S. SEC registrants. SULLIVAN & CROMWELL LLP S&C provides the highest quality legal advice and representation to clients around the world. The results the Firm achieves have set it apart for more than 140 years JOHNNY HAN - SULLIVAN & CROMWELL LLP Sullivan & Cromwell LLP provides the highest quality legal advice and representation to clients around the world. S&C comprises approximately 800 lawyers who serve clients around the world through a network of 12 offices, located in leading financial centers in Asia, Australia, Europe and the United States.C. ANDREW GERLACH
Andrew Gerlach is a partner in the Firm’s Financial Services and Mergers and Acquisitions Groups and co-head of the North America insurance practice. Mr. Gerlach’s practice is primarily focused on mergers and acquisitions, divestitures, joint ventures, securities offerings and similar trSHARON NELLES
Sharon Nelles, Managing Partner of the Firm’s Litigation Group and member of the Firm’s Management Committee, represents global companies and financial institutions and their boards in every aspect of critical company matters that implicate not only civil litigation but also related regulatory, congressional and criminal investigations and enforcement actions. BENJAMIN M. GOODCHILD Benjamin Goodchild is an associate in the Firm’s Mergers and Acquisitions Group with a broad multidisciplinary practice that includes experience in mergers and acquisitions, capital markets and corporate governance both within the US and internationally. Mr. Goodchild’s practice includes counseling clients on mergers, jointventures, stock
JARED M. FISHMAN
Jared M. Fishman. Jared Fishman is a partner in the Firm’s Financial Services and Capital Markets Groups. His practice is primarily focused on advising banks, broker-dealers, insurance companies and other companies in mergers and acquisitions, divestitures, capital raisings and similar transactions. He also regularly advises clients on a wideFREDERICK WERTHEIM
Rick Wertheim is a partner in the Firm’s Financial Institutions Group, concentrating on broker-dealer regulation and investment management. In the area of broker-dealer regulation, Mr. Wertheim regularly advises major investment banks and smaller brokerage firms on both transactional and compliance matters, including compliance with margin regulations.KATHLEEN MCARTHUR
Kathleen S. McArthur, co-head of S&C’s Securities & Commodities Investigations and Enforcement practice and the Firm’s Commodities, Futures and Derivatives practice, has advised some of the world’s biggest companies on major matters involving complex financial products, including enforcement inquiries, internal investigations and commercial litigation.SUNITI N. MEHTA
Suniti Mehta is an associate in the Firm’s Litigation Group. Her practice focuses on complex criminal, civil, and regulatory enforcement matters and internal investigations and securities litigation. She has advised financial institutions and corporations in proceedings involving allegations oSOPHIE A. MOEDER
Sophie Moeder is a member of Sullivan & Cromwell’s General Practice Group in the Firm’s Frankfurt office. She has been practicing U.S. securities law at S&C since she joined the Firm’s London office in 2001, focusing mainly on debt and equity capital markets transactions by non-U.S. issuers and ongoing U.S. securities law advice for non-U.S. SEC registrants. 2020 PROXY SEASON REVIEW 2020 Proxy Season: What Companies and Boards Can Learn Sullivan & Cromwell's 2020 proxy season review will analyze significant trends and developments relating to the 2020 U.S. annual meeting proxy season and highlight implications for the 2021 proxy seasonYORK SCHNORBUS
Frankfurt. +49-69-4272-5200. +49-69-4272-5200. +49-69-4272-5210. +49-69-4272-5210. schnorbusy@sullcrom.com. Download vCard. Dr. York Schnorbus joined Sullivan & Cromwell in 2001 and became a partner of the Firm in January 2009. He has extensive experience in public and private mergers and acquisitions, general corporate representationsand
S&C CYBERSECURITY PARTNER NICKY FRIEDLANDER JOINS PLI FCPA Nicky Friedlander was a speaker at the Practising Law Institute’s conference, “Doing Business in and with Emerging Markets 2021.” The conference, held June 7, examined important developments in laws and regulations concerning foreign investment, security and trade inSCOTT MILLER
Palo Alto. +1-650-461-5620. +1-650-461-5620. +1-650-461-5777. +1-650-461-5777. millersc@sullcrom.com. Download vCard. A versatile corporate lawyer, Scott works closely with clients on their most significant and sensitive matters spanning nearly every type of transaction or governance matter. Scott is a trusted advisor to clients, helping themZENA M. TAMLER
Zena Tamler joined S&C’s Estates and Personal Group in 2001 and was elected partner in October 2009. She represents high net worth individuals and families in connection with their personal legal matters, with particular focus on sophisticated tax and estate planning matters and the structuring of S&C PUBLICATION: M&A—HSR FILING FEES LIKELY TO INCREASE On June 8, 2021, the U.S. Senate passed legislation altering the filing fees payable for transactions that are reportable under the Hart-Scott-Rodino Antitrust Improvements Act of S&C ADVISES TS INNOVATION ACQUISITIONS IN SPAC MERGER WITH TS Innovation Acquisitions Corp., a publicly traded special purpose acquisition company formed by long-time S&C client Tishman Speyer Properties, completed its merger with Latch Inc., a provider of building maintenance software platforms, on June 4. STEVE PEIKIN SPEAKS AT ACI’S 23RD ANNUAL CONGRESS ON THE Steve Peikin spoke at the American Conference Institute’s 23rd Annual Congress on the Foreign Corrupt Practices Act New York. The two-day conference, held on June 2 and 3, brought together experts from government, the private sector, and academia to discuss the latest topics in FCPA enforcement priorities, DOJ guidance, third-party due diligence, compliance, and more.WESLEY N. HOPKIN
Sullivan & Cromwell LLP provides the highest quality legal advice and representation to clients around the world. S&C comprises approximately 800 lawyers who serve clients around the world through a network of 12 offices, located in leading financial centers in Asia, Australia, Europe and the United States.MICHAEL R. MAYER
Sullivan & Cromwell LLP provides the highest quality legal advice and representation to clients around the world. S&C comprises approximately 800 lawyers who serve clients around the world through a network of 12 offices, located in leading financial centers in Asia, Australia, Europe and the United States. SULLIVAN & CROMWELL LLP Legal Developments Affecting the Workplace. This blog is dedicated to the rapidly changing areas of labor and employment law and workplace investigations. May 7, 2021. Department of Labor Officially Withdraws Trump Administration Worker-Classification Rule. Subscribe to OurBlog.
JOHNNY HAN - SULLIVAN & CROMWELL LLP Sullivan & Cromwell LLP provides the highest quality legal advice and representation to clients around the world. S&C comprises approximately 800 lawyers who serve clients around the world through a network of 12 offices, located in leading financial centers in Asia, Australia, Europe and the United States.C. ANDREW GERLACH
Andrew Gerlach is a partner in the Firm’s Financial Services and Mergers and Acquisitions Groups and co-head of the North America insurance practice. Mr. Gerlach’s practice is primarily focused on mergers and acquisitions, divestitures, joint ventures, securities offerings and similar trSHARON NELLES
Sharon Nelles, Managing Partner of the Firm’s Litigation Group and member of the Firm’s Management Committee, represents global companies and financial institutions and their boards in every aspect of critical company matters that implicate not only civil litigation but also related regulatory, congressional and criminal investigations and enforcement actions. BENJAMIN M. GOODCHILD Benjamin Goodchild is an associate in the Firm’s Mergers and Acquisitions Group with a broad multidisciplinary practice that includes experience in mergers and acquisitions, capital markets and corporate governance both within the US and internationally. Mr. Goodchild’s practice includes counseling clients on mergers, jointventures, stock
JARED M. FISHMAN
Jared M. Fishman. Jared Fishman is a partner in the Firm’s Financial Services and Capital Markets Groups. His practice is primarily focused on advising banks, broker-dealers, insurance companies and other companies in mergers and acquisitions, divestitures, capital raisings and similar transactions. He also regularly advises clients on a wideFREDERICK WERTHEIM
Rick Wertheim is a partner in the Firm’s Financial Institutions Group, concentrating on broker-dealer regulation and investment management. In the area of broker-dealer regulation, Mr. Wertheim regularly advises major investment banks and smaller brokerage firms on both transactional and compliance matters, including compliance with margin regulations.KATHLEEN MCARTHUR
Kathleen S. McArthur, co-head of S&C’s Securities & Commodities Investigations and Enforcement practice and the Firm’s Commodities, Futures and Derivatives practice, has advised some of the world’s biggest companies on major matters involving complex financial products, including enforcement inquiries, internal investigations and commercial litigation.SUNITI N. MEHTA
Suniti Mehta is an associate in the Firm’s Litigation Group. Her practice focuses on complex criminal, civil, and regulatory enforcement matters and internal investigations and securities litigation. She has advised financial institutions and corporations in proceedings involving allegations oSOPHIE A. MOEDER
Sophie Moeder is a member of Sullivan & Cromwell’s General Practice Group in the Firm’s Frankfurt office. She has been practicing U.S. securities law at S&C since she joined the Firm’s London office in 2001, focusing mainly on debt and equity capital markets transactions by non-U.S. issuers and ongoing U.S. securities law advice for non-U.S. SEC registrants. SULLIVAN & CROMWELL LLP Legal Developments Affecting the Workplace. This blog is dedicated to the rapidly changing areas of labor and employment law and workplace investigations. May 7, 2021. Department of Labor Officially Withdraws Trump Administration Worker-Classification Rule. Subscribe to OurBlog.
JOHNNY HAN - SULLIVAN & CROMWELL LLP Sullivan & Cromwell LLP provides the highest quality legal advice and representation to clients around the world. S&C comprises approximately 800 lawyers who serve clients around the world through a network of 12 offices, located in leading financial centers in Asia, Australia, Europe and the United States.C. ANDREW GERLACH
Andrew Gerlach is a partner in the Firm’s Financial Services and Mergers and Acquisitions Groups and co-head of the North America insurance practice. Mr. Gerlach’s practice is primarily focused on mergers and acquisitions, divestitures, joint ventures, securities offerings and similar trSHARON NELLES
Sharon Nelles, Managing Partner of the Firm’s Litigation Group and member of the Firm’s Management Committee, represents global companies and financial institutions and their boards in every aspect of critical company matters that implicate not only civil litigation but also related regulatory, congressional and criminal investigations and enforcement actions. BENJAMIN M. GOODCHILD Benjamin Goodchild is an associate in the Firm’s Mergers and Acquisitions Group with a broad multidisciplinary practice that includes experience in mergers and acquisitions, capital markets and corporate governance both within the US and internationally. Mr. Goodchild’s practice includes counseling clients on mergers, jointventures, stock
JARED M. FISHMAN
Jared M. Fishman. Jared Fishman is a partner in the Firm’s Financial Services and Capital Markets Groups. His practice is primarily focused on advising banks, broker-dealers, insurance companies and other companies in mergers and acquisitions, divestitures, capital raisings and similar transactions. He also regularly advises clients on a wideFREDERICK WERTHEIM
Rick Wertheim is a partner in the Firm’s Financial Institutions Group, concentrating on broker-dealer regulation and investment management. In the area of broker-dealer regulation, Mr. Wertheim regularly advises major investment banks and smaller brokerage firms on both transactional and compliance matters, including compliance with margin regulations.KATHLEEN MCARTHUR
Kathleen S. McArthur, co-head of S&C’s Securities & Commodities Investigations and Enforcement practice and the Firm’s Commodities, Futures and Derivatives practice, has advised some of the world’s biggest companies on major matters involving complex financial products, including enforcement inquiries, internal investigations and commercial litigation.SUNITI N. MEHTA
Suniti Mehta is an associate in the Firm’s Litigation Group. Her practice focuses on complex criminal, civil, and regulatory enforcement matters and internal investigations and securities litigation. She has advised financial institutions and corporations in proceedings involving allegations oSOPHIE A. MOEDER
Sophie Moeder is a member of Sullivan & Cromwell’s General Practice Group in the Firm’s Frankfurt office. She has been practicing U.S. securities law at S&C since she joined the Firm’s London office in 2001, focusing mainly on debt and equity capital markets transactions by non-U.S. issuers and ongoing U.S. securities law advice for non-U.S. SEC registrants. 2020 PROXY SEASON REVIEW 2020 Proxy Season: What Companies and Boards Can Learn Sullivan & Cromwell's 2020 proxy season review will analyze significant trends and developments relating to the 2020 U.S. annual meeting proxy season and highlight implications for the 2021 proxy seasonYORK SCHNORBUS
Frankfurt. +49-69-4272-5200. +49-69-4272-5200. +49-69-4272-5210. +49-69-4272-5210. schnorbusy@sullcrom.com. Download vCard. Dr. York Schnorbus joined Sullivan & Cromwell in 2001 and became a partner of the Firm in January 2009. He has extensive experience in public and private mergers and acquisitions, general corporate representationsand
S&C CYBERSECURITY PARTNER NICKY FRIEDLANDER JOINS PLI FCPA Nicky Friedlander was a speaker at the Practising Law Institute’s conference, “Doing Business in and with Emerging Markets 2021.” The conference, held June 7, examined important developments in laws and regulations concerning foreign investment, security and trade inSCOTT MILLER
Palo Alto. +1-650-461-5620. +1-650-461-5620. +1-650-461-5777. +1-650-461-5777. millersc@sullcrom.com. Download vCard. A versatile corporate lawyer, Scott works closely with clients on their most significant and sensitive matters spanning nearly every type of transaction or governance matter. Scott is a trusted advisor to clients, helping themZENA M. TAMLER
Zena Tamler joined S&C’s Estates and Personal Group in 2001 and was elected partner in October 2009. She represents high net worth individuals and families in connection with their personal legal matters, with particular focus on sophisticated tax and estate planning matters and the structuring of S&C PUBLICATION: M&A—HSR FILING FEES LIKELY TO INCREASE On June 8, 2021, the U.S. Senate passed legislation altering the filing fees payable for transactions that are reportable under the Hart-Scott-Rodino Antitrust Improvements Act of S&C ADVISES TS INNOVATION ACQUISITIONS IN SPAC MERGER WITH TS Innovation Acquisitions Corp., a publicly traded special purpose acquisition company formed by long-time S&C client Tishman Speyer Properties, completed its merger with Latch Inc., a provider of building maintenance software platforms, on June 4. STEVE PEIKIN SPEAKS AT ACI’S 23RD ANNUAL CONGRESS ON THE Steve Peikin spoke at the American Conference Institute’s 23rd Annual Congress on the Foreign Corrupt Practices Act New York. The two-day conference, held on June 2 and 3, brought together experts from government, the private sector, and academia to discuss the latest topics in FCPA enforcement priorities, DOJ guidance, third-party due diligence, compliance, and more.WESLEY N. HOPKIN
Sullivan & Cromwell LLP provides the highest quality legal advice and representation to clients around the world. S&C comprises approximately 800 lawyers who serve clients around the world through a network of 12 offices, located in leading financial centers in Asia, Australia, Europe and the United States.MICHAEL R. MAYER
Sullivan & Cromwell LLP provides the highest quality legal advice and representation to clients around the world. S&C comprises approximately 800 lawyers who serve clients around the world through a network of 12 offices, located in leading financial centers in Asia, Australia, Europe and the United States. SULLIVAN & CROMWELL LLP S&C provides the highest quality legal advice and representation to clients around the world. The results the Firm achieves have set it apart for more than 140 years JOHNNY HAN - SULLIVAN & CROMWELL LLP Sullivan & Cromwell LLP provides the highest quality legal advice and representation to clients around the world. S&C comprises approximately 800 lawyers who serve clients around the world through a network of 12 offices, located in leading financial centers in Asia, Australia, Europe and the United States.C. ANDREW GERLACH
Andrew Gerlach is a partner in the Firm’s Financial Services and Mergers and Acquisitions Groups and co-head of the North America insurance practice. Mr. Gerlach’s practice is primarily focused on mergers and acquisitions, divestitures, joint ventures, securities offerings and similar tr MAX BIRKE - PARTNER - SULLIVAN & CROMWELL Dr. Max Birke joined Sullivan & Cromwell in 2004 and became a partner of the Firm in January 2011. A member of the Firm’s German Law Practice Group, Dr. Birke advises on a wide range of financing matters and capital markets matters, as well as in M&A and real estatetransactions.
SHARON NELLES
Sharon Nelles, Managing Partner of the Firm’s Litigation Group and member of the Firm’s Management Committee, represents global companies and financial institutions and their boards in every aspect of critical company matters that implicate not only civil litigation but also related regulatory, congressional and criminal investigations and enforcement actions.SUNITI N. MEHTA
Suniti Mehta is an associate in the Firm’s Litigation Group. Her practice focuses on complex criminal, civil, and regulatory enforcement matters and internal investigations and securities litigation. She has advised financial institutions and corporations in proceedings involving allegations oSOPHIE A. MOEDER
Sophie Moeder is a member of Sullivan & Cromwell’s General Practice Group in the Firm’s Frankfurt office. She has been practicing U.S. securities law at S&C since she joined the Firm’s London office in 2001, focusing mainly on debt and equity capital markets transactions by non-U.S. issuers and ongoing U.S. securities law advice for non-U.S. SEC registrants.SHARON COHEN LEVIN
Sharon Cohen Levin is a partner in the Firm’s Litigation Group and a member of its Criminal Defense and Investigations Group. She is a leading expert in anti-money laundering (AML), Bank Secrecy Act, economic sanctions and asset forfeiture matters.FREDERICK WERTHEIM
Rick Wertheim is a partner in the Firm’s Financial Institutions Group, concentrating on broker-dealer regulation and investment management. In the area of broker-dealer regulation, Mr. Wertheim regularly advises major investment banks and smaller brokerage firms on both transactional and compliance matters, including compliance with margin regulations.RYNE MILLER
Ryne Miller is co-head of Sullivan & Cromwell’s Commodities, Futures & Derivatives group. He also works with the Financial Services and Capital Markets groups. SULLIVAN & CROMWELL LLP S&C provides the highest quality legal advice and representation to clients around the world. The results the Firm achieves have set it apart for more than 140 years JOHNNY HAN - SULLIVAN & CROMWELL LLP Sullivan & Cromwell LLP provides the highest quality legal advice and representation to clients around the world. S&C comprises approximately 800 lawyers who serve clients around the world through a network of 12 offices, located in leading financial centers in Asia, Australia, Europe and the United States.C. ANDREW GERLACH
Andrew Gerlach is a partner in the Firm’s Financial Services and Mergers and Acquisitions Groups and co-head of the North America insurance practice. Mr. Gerlach’s practice is primarily focused on mergers and acquisitions, divestitures, joint ventures, securities offerings and similar tr MAX BIRKE - PARTNER - SULLIVAN & CROMWELL Dr. Max Birke joined Sullivan & Cromwell in 2004 and became a partner of the Firm in January 2011. A member of the Firm’s German Law Practice Group, Dr. Birke advises on a wide range of financing matters and capital markets matters, as well as in M&A and real estatetransactions.
SHARON NELLES
Sharon Nelles, Managing Partner of the Firm’s Litigation Group and member of the Firm’s Management Committee, represents global companies and financial institutions and their boards in every aspect of critical company matters that implicate not only civil litigation but also related regulatory, congressional and criminal investigations and enforcement actions.SUNITI N. MEHTA
Suniti Mehta is an associate in the Firm’s Litigation Group. Her practice focuses on complex criminal, civil, and regulatory enforcement matters and internal investigations and securities litigation. She has advised financial institutions and corporations in proceedings involving allegations oSOPHIE A. MOEDER
Sophie Moeder is a member of Sullivan & Cromwell’s General Practice Group in the Firm’s Frankfurt office. She has been practicing U.S. securities law at S&C since she joined the Firm’s London office in 2001, focusing mainly on debt and equity capital markets transactions by non-U.S. issuers and ongoing U.S. securities law advice for non-U.S. SEC registrants.SHARON COHEN LEVIN
Sharon Cohen Levin is a partner in the Firm’s Litigation Group and a member of its Criminal Defense and Investigations Group. She is a leading expert in anti-money laundering (AML), Bank Secrecy Act, economic sanctions and asset forfeiture matters.FREDERICK WERTHEIM
Rick Wertheim is a partner in the Firm’s Financial Institutions Group, concentrating on broker-dealer regulation and investment management. In the area of broker-dealer regulation, Mr. Wertheim regularly advises major investment banks and smaller brokerage firms on both transactional and compliance matters, including compliance with margin regulations.RYNE MILLER
Ryne Miller is co-head of Sullivan & Cromwell’s Commodities, Futures & Derivatives group. He also works with the Financial Services and Capital Markets groups. 2020 PROXY SEASON REVIEW 2020 Proxy Season: What Companies and Boards Can Learn Sullivan & Cromwell's 2020 proxy season review will analyze significant trends and developments relating to the 2020 U.S. annual meeting proxy season and highlight implications for the 2021 proxy season PODCAST - ANTITRUST ISSUES IN NO-POACH AGREEMENTS AND In this episode of S&C’s Critical Insights, Joe Matelis and Samantha Hynes discuss what employers need to know about the changing antitrust ramifications of no-poach agreements and other agreements affecting employee compensation.They provide a brief background on U.S. antitrust law related to employee compensation, explore the indictments returned by the DOJ in late 2020 and early BLOG | LEGAL DEVELOPMENTS AFFECTING THE WORKPLACE This blog is dedicated to the rapidly changing areas of labor and employment law, whistleblower rights and workplace investigations. The posts are aimed at keeping clients and others informed of litigation and regulatory developments that affect the workplace as they occur.CLEMENS RECHBERGER
Clemens Rechberger is a partner in the firm’s General Practice Group. He is based in the Frankfurt office and also has experience working in the firm’s New York and London offices. Mr. Rechberger focuses on representing issuers and underwriters in a broad range of equity and debt capiYORK SCHNORBUS
Dr. York Schnorbus joined Sullivan & Cromwell in 2001 and became a partner of the Firm in January 2009. He has extensive experience in public and private mergers and acquisitions, general corporate representations and capital market and acquisition financings. Dr. Schnorbus’ practice is veZENA M. TAMLER
Zena Tamler joined S&C’s Estates and Personal Group in 2001 and was elected partner in October 2009. She represents high net worth individuals and families in connection with their personal legal matters, with particular focus on sophisticated tax and estate planning matters and the structuring of S&C PUBLICATION: SEC CHAIR ISSUES STATEMENT ON 10B5-1 PLANS READ MORE. On June 7, 2021, Securities and Exchange Commission Chair Gary Gensler released prepared remarks for the CFO Network Summit highlighting areas of potential rulemaking around Rule 10b5-1 trading plans. Rule 10b5-1 trading plans have come under scrutiny in the past several years, with various commentators discussing the potential for abuse under those plans. S&C OBTAINS DISMISSAL OF SECURITIES CLAIMS AGAINST Volkswagen AG secured the dismissal with prejudice of a purported securities class action brought by holders of American Depository Receipts against the company and current and former executives in aMay 20 ruling.
WESLEY N. HOPKIN
Sullivan & Cromwell LLP provides the highest quality legal advice and representation to clients around the world. S&C comprises approximately 800 lawyers who serve clients around the world through a network of 12 offices, located in leading financial centers in Asia, Australia, Europe and the United States.MICHAEL R. MAYER
Sullivan & Cromwell LLP provides the highest quality legal advice and representation to clients around the world. S&C comprises approximately 800 lawyers who serve clients around the world through a network of 12 offices, located in leading financial centers in Asia, Australia, Europe and the United States. SULLIVAN & CROMWELL LLP Legal Developments Affecting the Workplace. This blog is dedicated to the rapidly changing areas of labor and employment law and workplace investigations. May 7, 2021. Department of Labor Officially Withdraws Trump Administration Worker-Classification Rule. Subscribe to OurBlog.
C. ANDREW GERLACH
Andrew Gerlach is a partner in the Firm’s Financial Services and Mergers and Acquisitions Groups and co-head of the North America insurance practice. Mr. Gerlach’s practice is primarily focused on mergers and acquisitions, divestitures, joint ventures, securities offerings and similar trKAMIL R. SHIELDS
Kamil Shields is a special counsel in the Firm’s Litigation Group. Her practice focuses on investigations and regulatory enforcement proceedings involving cybercrime matters, public corruption, and bank and wire fraud. Ms. Shields rejoined the Firm in 2019 from the UnitedStates Attorney&rs
FRANK AQUILA
In December 2018, The Financial Times described Frank Aquila as “one of the most influential and high-profile M&A and corporate lawyers in the U.S.” who has “played a role in many of the largest and most complex deals.” In December 2019, Mr. Aquila was one of the dealmakers profiled in an article in The Financial Times titled “Deal lawyers are masters of seeing the next move.” JOHNNY HAN - SULLIVAN & CROMWELL LLP Sullivan & Cromwell LLP provides the highest quality legal advice and representation to clients around the world. S&C comprises approximately 800 lawyers who serve clients around the world through a network of 12 offices, located in leading financial centers in Asia, Australia, Europe and the United States. BLOG | LEGAL DEVELOPMENTS AFFECTING THE WORKPLACE Legal Developments Affecting the Workplace. This blog is dedicated to the rapidly changing areas of labor and employment law, whistleblower rights and workplace investigations. The posts are aimed at keeping clients and others informed of litigation and regulatory developments that affect the workplace as they occur.MELISSA SAWYER
Melissa Sawyer is a partner in Sullivan & Cromwell LLP’s Mergers & Acquisitions Group and is co-head of the Firm’s Corporate Governance & Activism Practice. In addition to advising clients on public and private M&A transactions, joint ventures and strategic alliKATHLEEN MCARTHUR
Kathleen S. McArthur, co-head of S&C’s Securities & Commodities Investigations and Enforcement practice and the Firm’s Commodities, Futures and Derivatives practice, has advised some of the world’s biggest companies on major matters involving complex financial products, including enforcement inquiries, internal investigations and commercial litigation.SHARON NELLES
Sharon Nelles, Managing Partner of the Firm’s Litigation Group and member of the Firm’s Management Committee, represents global companies and financial institutions and their boards in every aspect of critical company matters that implicate not only civil litigation but also related regulatory, congressional and criminal investigations and enforcement actions.SOPHIE A. MOEDER
Sophie Moeder is a member of Sullivan & Cromwell’s General Practice Group in the Firm’s Frankfurt office. She has been practicing U.S. securities law at S&C since she joined the Firm’s London office in 2001, focusing mainly on debt and equity capital markets transactions by non-U.S. issuers and ongoing U.S. securities law advice for non-U.S. SEC registrants. SULLIVAN & CROMWELL LLP Legal Developments Affecting the Workplace. This blog is dedicated to the rapidly changing areas of labor and employment law and workplace investigations. May 7, 2021. Department of Labor Officially Withdraws Trump Administration Worker-Classification Rule. Subscribe to OurBlog.
C. ANDREW GERLACH
Andrew Gerlach is a partner in the Firm’s Financial Services and Mergers and Acquisitions Groups and co-head of the North America insurance practice. Mr. Gerlach’s practice is primarily focused on mergers and acquisitions, divestitures, joint ventures, securities offerings and similar trKAMIL R. SHIELDS
Kamil Shields is a special counsel in the Firm’s Litigation Group. Her practice focuses on investigations and regulatory enforcement proceedings involving cybercrime matters, public corruption, and bank and wire fraud. Ms. Shields rejoined the Firm in 2019 from the UnitedStates Attorney&rs
FRANK AQUILA
In December 2018, The Financial Times described Frank Aquila as “one of the most influential and high-profile M&A and corporate lawyers in the U.S.” who has “played a role in many of the largest and most complex deals.” In December 2019, Mr. Aquila was one of the dealmakers profiled in an article in The Financial Times titled “Deal lawyers are masters of seeing the next move.” BLOG | LEGAL DEVELOPMENTS AFFECTING THE WORKPLACE Legal Developments Affecting the Workplace. This blog is dedicated to the rapidly changing areas of labor and employment law, whistleblower rights and workplace investigations. The posts are aimed at keeping clients and others informed of litigation and regulatory developments that affect the workplace as they occur. JOHNNY HAN - SULLIVAN & CROMWELL LLP Sullivan & Cromwell LLP provides the highest quality legal advice and representation to clients around the world. S&C comprises approximately 800 lawyers who serve clients around the world through a network of 12 offices, located in leading financial centers in Asia, Australia, Europe and the United States.MELISSA SAWYER
Melissa Sawyer is a partner in Sullivan & Cromwell LLP’s Mergers & Acquisitions Group and is co-head of the Firm’s Corporate Governance & Activism Practice. In addition to advising clients on public and private M&A transactions, joint ventures and strategic alliKATHLEEN MCARTHUR
Kathleen S. McArthur, co-head of S&C’s Securities & Commodities Investigations and Enforcement practice and the Firm’s Commodities, Futures and Derivatives practice, has advised some of the world’s biggest companies on major matters involving complex financial products, including enforcement inquiries, internal investigations and commercial litigation.SHARON NELLES
Sharon Nelles, Managing Partner of the Firm’s Litigation Group and member of the Firm’s Management Committee, represents global companies and financial institutions and their boards in every aspect of critical company matters that implicate not only civil litigation but also related regulatory, congressional and criminal investigations and enforcement actions.SOPHIE A. MOEDER
Sophie Moeder is a member of Sullivan & Cromwell’s General Practice Group in the Firm’s Frankfurt office. She has been practicing U.S. securities law at S&C since she joined the Firm’s London office in 2001, focusing mainly on debt and equity capital markets transactions by non-U.S. issuers and ongoing U.S. securities law advice for non-U.S. SEC registrants. LAWYERS - SULLIVAN & CROMWELL S&C’s success is the result of the quality of its lawyers, the most broadly and deeply trained collection of attorneys in the world. The Firm’s lawyers work as a single partnership without geographicdivision.
PODCAST - ANTITRUST ISSUES IN NO-POACH AGREEMENTS AND In this episode of S&C’s Critical Insights, Joe Matelis and Samantha Hynes discuss what employers need to know about the changing antitrust ramifications of no-poach agreements and other agreements affecting employee compensation.They provide a brief background on U.S. antitrust law related to employee compensation, explore the indictments returned by the DOJ in late 2020 and early THE EEOC ISSUES GUIDANCE CLARIFYING MANDATORY COVID-19 On May 28, 2021, the U.S. Equal Employment Opportunity Commission (“EEOC”) updated its guidance on What You Should Know About COVID-19 and the ADA, the Rehabilitation Act, and Other EEO Laws (the “guidance”). The guidance provides that federal equal employment opportunity laws do not prevent an employer from requiring all employees physically entering the workplace to be vaccinated S&C PUBLICATION: SEC CHAIR ISSUES STATEMENT ON 10B5-1 PLANS READ MORE. On June 7, 2021, Securities and Exchange Commission Chair Gary Gensler released prepared remarks for the CFO Network Summit highlighting areas of potential rulemaking around Rule 10b5-1 trading plans. Rule 10b5-1 trading plans have come under scrutiny in the past several years, with various commentators discussing the potential for abuse under those plans. 2021 CORPORATE GOVERNANCE TRENDS U.S. BIOPHARMACEUTICAL -3- 2021 Corporate Governance Trends — U.S. Biopharmaceutical Industry June 2021 expertise of each director, particularly in the areas of risk management and human capital management. DEUTSCHE WOHNEN AND VONOVIA BUILD EUROPE’S LARGEST Deutsche Wohnen and Vonovia Build Europe’s Largest Residential Real Estate Group July 4, 2021 In a landmark transaction that will upend the European real estate market, Sullivan & Cromwell is advising long-standing client Deutsche Wohnen on its merger with fellow real estate group Vonovia, executed through a €18 billion ($22 billion) cash takeover offer by Vonovia. S&C OBTAINS DISMISSAL OF SECURITIES CLAIMS AGAINST Volkswagen AG secured the dismissal with prejudice of a purported securities class action brought by holders of American Depository Receipts against the company and current and former executives in aMay 20 ruling.
S&C PUBLICATION: SUPREME COURT NARROWS SCOPE OF FEDERAL The U.S. Supreme Court ruled in Van Buren v. United States that the federal Computer Fraud and Abuse Act, which bars an individual from “exceed authorized access” to information on a computer network, does not apply to cases where an individual is generally authorized to access the information, but does so for an unauthorized or improper purpose. U.S. SUPREME COURT NARROWS THE SCOPE OF FEDERAL ANTI -3- U.S. Supreme Court Narrows the Scope of Federal Anti-Hacking Law in Van Buren v.United States June 4, 2021 The majority focused on a textual analysis of the CFAA’s “exceeds authorized access” definition.16 As part of that analysis, the Court rejected the Government’s argument that the plain meaning of the statutory text MELISSA SAWYER INTERVIEWED BY WALL STREET JOURNAL Melissa Sawyer spoke to Wall Street Journal reporters Emily Glazer and Theo Francis about how CEOs are being held accountable when it comes to achieving diversity goals.The article, “CEO Pay Increasingly Tied to Diversity Goals,” examines the growing pressure on companies—from institutional investors, customers, and employees—to get serious about recruiting more women and minorities Javascript must be enabled for the correct page displaySkip to Content
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S&C Chairman Joe Shenker shares his thoughts about the Firm. S&C Chairman Joe Shenker shares his thoughts about the Firm.RECENT MEMOS
RECENT MEMOS
U.S. DEPARTMENT OF LABOR ISSUES WORKPLACE GUIDELINES FOR CORONAVIRUSOUTBREAK
March 12, 2020
SUSTAINABILITY MATTERS—THE RISE OF ESG METRICS IN EXECUTIVECOMPENSATION
March 10, 2020
DEL. CHANCERY HOLDS PENDING DERIVATIVE ACTION MAY COMPROMISE SPECIALCOMMITTEE
March 9, 2020
_U.S._ V. _HOSKINS_—DISTRICT COURT GRANTS JUDGMENT OF ACQUITTAL OFFCPA CHARGES
February 28, 2020
NLRB ISSUES RULE DEFINING JOINT-EMPLOYER STANDARDFebruary 25, 2020
UK MERGER CONTROL — INCREASED SCRUTINY OF NON-UK TRANSACTIONSFebruary 19, 2020
NEWS
NEWS
S&C ADVISES FRENCH REAL ESTATE COMPANY COVIVIO IN GODEWIND DEALMarch 10, 2020
S&C ADVISES EXOR IN $9 BILLION SALE OF REINSURER PARTNERRE TO COVÉAMarch 9, 2020
S&C SENIOR CHAIRMAN RODGE COHEN TALKS TO “SQUAWK BOX” ABOUT MORGAN STANLEY-E*TRADE DEALFebruary 21, 2020
S&C ADVISES BIOHAVEN PHARMACEUTICAL IN $250 MILLION STOCK OFFERINGFebruary 27, 2020
S&C ADVISES ALLY FINANCIAL IN $2.65B ACQUISITION OF CARDWORKSFebruary 20, 2020
S&C ADVISES LENDINGCLUB IN HISTORIC $185M ACQUISITION OF RADIUS BANKFebruary 20, 2020
S&C REPRESENTS UNISYS IN $1.2 BILLION SALE OF U.S. FEDERAL BUSINESSTO SAIC
February 7, 2020
S&C WINS DISMISSAL OF TUNA PRODUCTS PRICE-FIXING ALLEGATIONS AGAINST PRIVATE EQUITY CLIENTFebruary 7, 2020
S&C SENIOR CHAIRMAN RODGE COHEN PROFILED IN _BANK DIRECTOR_January 28, 2020
IN FOCUS
IN FOCUS
LEGAL DEVELOPMENTS AFFECTING THE WORKPLACE – S&C BLOG This S&C blog is dedicated to the rapidly changing areas of labor andemployment law.
Read our latest post: U.S. DEPARTMENT OF LABOR ISSUES WORKPLACE GUIDELINES FOR CORONAVIRUS OUTBREAK, INCLUDING SPECIFIC GUIDANCE ONFMLA, FLSA AND FECA
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S&C DEAL PORTAL - WHAT MATTERS NOW IN M&A The latest news, perspectives, intelligence and thought leadership, presented by the M&A team at Sullivan & Cromwell. THE ANTITRUST SERIES (1/3): MODEL LETTERS AND TIMING AGREEMENTS There are new developments at the DOJ’s Antitrust Division and the FTC – what are the changes, and what is their impact? Renata Hesse and Samantha Hynes discuss the changes, specifically model letters and timing agreements, in the first of the S&C Critical Insights three-part Antitrust series. LISTEN TO OUR PODCAST FOREIGN CORRUPT PRACTICES ACT CLEARINGHOUSE S&C and Stanford Law School have launched the Foreign Corrupt Practices Act Clearinghouse, a public database that aggregates and curates source documents and provides analytic tools relating toenforcement.
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